2025 RMIF Annual General Meeting

News

May 13, 2025

Romspen Q4 2024 Investor Call: May 28, 2025

We invite you to join Romspen’s Q4 2024 Investor Call, where we’ll be discussing the latest performance highlights, market insights, and updates on key strategic initiatives.

Date: Wednesday, May 28th, 2025
Time: 1:00 PM EST

Please [...]

April 21, 2025

RUSMIF Monthly Distribution and Net Asset Value for March 2025

Romspen US Mortgage Investment Fund has announced a distribution of US $0.048 per unit and a net asset value of US $10.00 per unit for the month of March [...]

April 15, 2025

RMIF Monthly Distribution and Net Asset Value for March 2025

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.10 per unit for the month of March 2025 payable [...]

March 20, 2025

RUSMIF Monthly Distribution and Net Asset Value for February 2025

Romspen US Mortgage Investment Fund has announced a distribution of US $0.042 per unit and a net asset value of US $10.00 per unit for the month of February [...]

March 17, 2025

RMIF Monthly Distribution and Net Asset Value for February 2025

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.12 per unit for the month of February 2025 payable [...]

February 20, 2025

RUSMIF Monthly Distribution and Net Asset Value for January 2025

Romspen US Mortgage Investment Fund has announced a distribution of US $0.050 per unit and a net asset value of US $10.00 per unit for the month of January [...]

February 18, 2025

RMIF Monthly Distribution and Net Asset Value for January 2025

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.15 per unit for the month of January 2025 payable [...]

January 21, 2025

RUSMIF Monthly Distribution and Net Asset Value for December 2024

Romspen US Mortgage Investment Fund has announced a distribution of US $0.107 per unit and a net asset value of US $10.00 per unit for the month of December [...]

January 15, 2025

RMIF Monthly Distribution and Net Asset Value for December 2024

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.15 per unit for the month of December 2024 payable [...]

December 20, 2024

RUSMIF Monthly Distribution and Net Asset Value for November 2024

Romspen US Mortgage Investment Fund has announced a distribution of US $0.046 per unit and a net asset value of US $10.00 per unit for the month of November [...]

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