The Taiwan Fund, Inc. is a closed-ended equity mutual fund launched and managed by JF International Management Inc. It invests in the public equity markets of Taiwan. The fund seeks to invest in stocks of companies operating across diversified sectors. It employs fundamental analysis focusing on such factors as overall growth prospects, competitive position in the respective industry, technology, research, and development, productivity, labor costs, raw material costs and sources, profit margins, return on investment, capital resources, government regulation, and management to create its portfolio. The fund benchmarks the performance of its portfolio against the TAIEX Total Return Index. The Taiwan Fund, Inc. was formed on December 23, 1986 and is domiciled in the United States.
IPO Year: 1986
Exchange: NYSE
Website: thetaiwanfund.com
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BOSTON, Oct. 20, 2025 /PRNewswire/ -- The Board of Directors of the Taiwan Fund, Inc. (NYSE:TWN) (the "Fund") announces today that its Board has adopted a new conditional tender offer policy (the "Policy"). The current conditional offer policy expires on December 31, 2025. Under the Policy, the Fund would conduct a tender offer to purchase up to 25% of its outstanding shares at 98% of net asset value ("NAV") if the Fund's NAV performance for the five year period ending December 31, 2030 were exceeded by the performance of the Fund's benchmark (the TAIEX Total Return Index) over that period. The Board believes that adopting the Policy, following the expiration of the current conditional off
BOSTON, Oct. 20, 2025 /PRNewswire/ -- The Board of Directors of the Taiwan Fund, Inc. (NYSE:TWN) (the "Fund") announces today that its Board has adopted a new conditional tender offer policy (the "Policy"). The current conditional offer policy expires on December 31, 2025. Under the Policy, the Fund would conduct a tender offer to purchase up to 25% of its outstanding shares at 98% of net asset value ("NAV") if the Fund's NAV performance for the five year period ending December 31, 2030 exceeded the performance of the Fund's benchmark (the TAIEX Total Return Index) over that period. The Board believes that adopting the Policy, following the expiration of the current conditional offer polic
BOSTON, July 16, 2025 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended May 31, 2025. The Fund reported a net asset value per share of $46.82 as of the close of business on May 31, 2025. This represents an increase of $1.10 per share from the net asset value per share of $45.72 reported on Feb 28, 2025. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2025, was $37.77, representing a discount to net asset value of 19.33%. This represents an increase of $0.53 per share from the share price of $37.24 on February 28, 2025, which represented a discount to net asse
BOSTON, April 15, 2025 /PRNewswire/ -- The Taiwan Fund, Inc. (TWN) (the "Fund") announced today the results of its Annual Stockholders Meeting held on April 11, 2025. The Fund's stockholders re-elected four individuals to the Board of Directors. William C. Kirby, Shelley E. Rigger, Anthony S. Clark and Warren J. Olsen were re-elected by stockholders for one-year terms, expiring in 2026. Director William C. Kirby Shelley E. Rigger Anthony S. Clark Warren J. Olsen Votes Cast for 5,496,110 5,330,759 5,561,070 5,406,397 Votes Against/Withheld 422,023 587,374 357,063 511,735 The Fund is a diversified closed-end invest
BOSTON, Jan. 23, 2025 /PRNewswire/ -- The Taiwan Fund, Inc. (TWN) (the "Fund"), announced today that, due to the closing of the Taiwan market during the Lunar New Year, the Fund will begin to calculate its net asset value on January 23, 2025 and will continue to do so through January 31, 2025 based on its portfolio holdings and the prices thereof as at the close of trading on January 22, 2025, being the last trading date for the Taiwan Stock Exchange ("TSE") prior to the Lunar New Year, as adjusted for changes in the currency exchange rate between the U.S. dollar and the Taiwan dollar. The TSE will re-open on February 3, 2025. The Fund is a diversified closed-end investment company, which
NEW YORK, Jan. 15, 2025 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE: TWN) announced today details regarding its investment performance for the three month period ended November 30, 2024. The Fund reported a net asset value per share of $52.97 as of the close of business on November 30, 2024. This represents a decrease of $0.81 per share from the net asset value per share of $53.78 reported on August 31, 2024. The Fund had a total return of -1.51% for the three months ended November 30, 2024 based on the change in its net asset value. For the same period the TAIEX Total Return Index returned -1.34% (in US$ terms). The Fund's share price, as traded on the New York Stock Exchange
NEW YORK, Dec. 13, 2024 /PRNewswire/ -- The Board of Directors of The Taiwan Fund, Inc. (NYSE: TWN) (the "Fund") has declared a long term capital gain distribution in the amount of $7.3984 per share. The distribution will be payable on January 10, 2025 to stockholders of record on December 27, 2024 with an ex-dividend date of December 27, 2024. The Fund has a Dividend Reinvestment and Cash Purchase Plan (the "Plan") that is open to all stockholders. If the Fund's shares trade at a premium to the net asset value of the Fund, Plan participants will receive shares of the Fund valued at the greater of the net asset value or 95% of the market price. If the Fund is trading at a discount, Plan
BOSTON, July 19, 2024 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE: TWN) announced today details regarding its investment performance for the three month period ended May 31, 2024. The Fund reported a net asset value per share of $49.64 as of the close of business on May 31, 2024. This represents an increase of $1.26 per share from the net asset value per share of $48.38 reported on Feb 29, 2024. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2024, was $39.84, representing a discount to net asset value of 19.74%. This represents an increase of $1.02 per share from the share price of $38.82 on February 29, 2024, which represented a discount to net ass
BOSTON, April 24, 2024 /PRNewswire/ -- The Taiwan Fund, Inc. (TWN) (the "Fund") announced today the results of its Annual Stockholders Meeting held on April 16, 2024. The Fund's stockholders re-elected four individuals to the Board of Directors. William C. Kirby, Shelley E. Rigger, Anthony S. Clark and Warren J. Olsen were re-elected by stockholders for one-year terms, expiring in 2025. Director Votes Cast for Votes Against/Withheld William C. Kirby 5,667,775 685,111 Shelley E. Rigger 5,812,512 540,374 Anthony S. Clark 5,805,836
BOSTON, March 28, 2024 /PRNewswire/ -- In view of the passing of Thomas G. Kamp, a Director on the Board of Directors of The Taiwan Fund, Inc. (TWN) (the "Fund"), on March 20, 2024, the Board has approved amending the size of the Board to four Directors. The Board will consider later in the year whether to add a new Director to the Fund. The Fund is a diversified closed-end investment company, which seeks long term capital appreciation primarily through investments in equity securities listed on the Taiwan Stock Exchange. Shares of the Fund are listed on the New York Stock Exchange under the ticker symbol "TWN." For additional information on the Fund, including information on the Fund's ho
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BOSTON, July 16, 2025 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended May 31, 2025. The Fund reported a net asset value per share of $46.82 as of the close of business on May 31, 2025. This represents an increase of $1.10 per share from the net asset value per share of $45.72 reported on Feb 28, 2025. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2025, was $37.77, representing a discount to net asset value of 19.33%. This represents an increase of $0.53 per share from the share price of $37.24 on February 28, 2025, which represented a discount to net asse
NEW YORK, Jan. 15, 2025 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE: TWN) announced today details regarding its investment performance for the three month period ended November 30, 2024. The Fund reported a net asset value per share of $52.97 as of the close of business on November 30, 2024. This represents a decrease of $0.81 per share from the net asset value per share of $53.78 reported on August 31, 2024. The Fund had a total return of -1.51% for the three months ended November 30, 2024 based on the change in its net asset value. For the same period the TAIEX Total Return Index returned -1.34% (in US$ terms). The Fund's share price, as traded on the New York Stock Exchange
BOSTON, July 19, 2024 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE: TWN) announced today details regarding its investment performance for the three month period ended May 31, 2024. The Fund reported a net asset value per share of $49.64 as of the close of business on May 31, 2024. This represents an increase of $1.26 per share from the net asset value per share of $48.38 reported on Feb 29, 2024. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2024, was $39.84, representing a discount to net asset value of 19.74%. This represents an increase of $1.02 per share from the share price of $38.82 on February 29, 2024, which represented a discount to net ass
NEW YORK, Jan. 16, 2024 /PRNewswire/ --The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended November 30, 2023. The Fund reported a net asset value per share of $41.73 as of the close of business on November 30, 2023. This represents an increase of $2.00 per share from the net asset value per share of $39.73 reported on August 31, 2023. The Fund had a total return of 5.03% for the three months ended November 30, 2023 based on the change in its net asset value. For the same period the TAIEX Total Return Index returned 7.07% (in US$ terms). The Fund's share price, as traded on the New York Stock Exchange on
BOSTON, July 20, 2023 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE: TWN) announced today details regarding its investment performance for the three month period ended May 31, 2023. The Fund reported a net asset value per share of $35.74 as of the close of business on May 31, 2023. This represents an increase of $3.42 per share from the net asset value per share of $32.32 reported on Feb 28, 2023. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2023, was $28.67, representing a discount to net asset value of 19.78%. This represents an increase of $1.96 per share from the share price of $26.71 on February 28, 2023, which represented a discount to net asse
BOSTON, July 14, 2023 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended May 31, 2023. The Fund reported a net asset value per share of $35.74 as of the close of business on May 31, 2023. This represents an increase of $3.42 per share from the net asset value per share of $32.32 reported on Feb 28, 2023. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2023, was $28.67, representing a discount to net asset value of 19.78%. This represents an increase of $1.96 per share from the share price of $26.71 on February 28, 2023, which represented a discount to net asset
NEW YORK, Jan. 20, 2023 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended November 30, 2022. The Fund reported a net asset value per share of $30.09 as of the close of business on November 30, 2022. This represents an increase of $0.13 per share from the net asset value per share of $29.96 reported on August 31, 2022. The Fund had a total return of 0.43% for the three months ended November 30, 2022 based on the change in its net asset value. For the same period the TAIEX Total Return Index returned -2.66% (in US$ terms). The Fund's share price, as traded on the New York Stock Exchange o
NEW YORK, July 18, 2022 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended May 31, 2022. The Fund reported a net asset value per share of $35.18 as of the close of business on May 31, 2022. This represents a decrease of $5.18 per share from the net asset value per share of $40.36 reported on Feb 28, 2022. The Fund's share price, as traded on the New York Stock Exchange on May 31, 2022, was $28.34, representing a discount to net asset value of 19.44%. This represents a decrease of $5.49 per share from the share price of $33.83 on February 28, 2022, which represented a discount to net asset
NEW YORK, Jan. 20, 2022 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three month period ended November 30, 2021. The Fund reported a net asset value per share of $45.66 as of the close of business on November 30, 2021. This represents an increase of $2.83 per share from the net asset value per share of $42.83 reported on August 31, 2021. The Fund had a total return of 6.63% for the three months ended November 30, 2021 based on the change in its net asset value. For the same period the TAIEX Total Return Index returned -0.35% (in US$ terms). The Fund's share price, as traded on the New York Stock Exchange o
NEW YORK, July 20, 2021 /PRNewswire/ -- The Taiwan Fund, Inc. (the "Fund") (NYSE:TWN) announced today details regarding its investment performance for the three-month period ended May 31, 2021. The Fund reported a net asset value per share of $37.00 as of the close of business on May 28, 2021. This represents an increase of $3.91 per share from the net asset value per share of $33.09 reported on Feb 26, 2021. The Fund's share price, as traded on the New York Stock Exchange on May 28, 2021, was $31.55, representing a discount to net asset value of 14.73%. This represents an increase of $3.03 per share from the share price of $28.52 on February 26, 2021, which represented a discount to net ass