If you invest directly into the Fund, and not via an IDPS, master trust or wrap account, the Responsible Entity will provide you with a:
– Confirmation Statement – specifying details relating to your investment or redemption; Regular Reporting – a quarterly report updating the Fund’s operations and updates on major activities about the Fund;
– Distribution Statement – a quarterly distribution statement detailing the distribution amount, payment date;
– Annual Report and Audited Accounts – an annual report and audited accounts for each 12 month period ending 30 June; and
– Tax Statement – an annual tax statement setting out the Fund’s tax position each year.
The regular reporting including the Annual Reports and Audited Accounts will be available on this website and will be sent electronically to you if you have elected to receive it via email. Hard copies of these reports will not be sent out unless you have requested on the Application Form or in writing to us.