- Release Date: 31/03/16 09:37
- Summary: NTA: ASP: ASP EX-DIV NTA 30-03-2016 $1.33936
- Price Sensitive: No
- Download Document 1.25KB
ASP 31/03/2016 09:37 NTA NOT PRICE SENSITIVE REL: 0937 HRS Australian Property Index Trust (NS) NTA: ASP: ASP EX-DIV NTA 30-03-2016 $1.33936 31 March 2016 Australian Property Index Trust NTA & Allotment Notice The manager of the Australian Index Property Trust advises that as at close of business on 30 March 2016 a total of Nil units has been redeemed or allotted since 29 March 2016. The total number of units on issue on that day was 31,798,089. The asset backing for each ASP unit at close of business (Sydney) on 30 March 2016 was $1.33936 (NTA is net of applicable tax liability) The tracking difference was 0.10% The following companies are currently in the Fund: Code Security description ABP ABACUS PROPERTY GROUP BWP BWP TRUST ORD CHC CHARTER HALL GROUP CMW CROMWELL PROPERTY GRO CQR CHARTER HALL RETAIL-R DXS DEXUS PROPERTY GROUP GMG GOODMAN GROUP GOZ GROWTHPOINT PROPERTIES AUSTRALIA GPT GPT GROUP IOF INVESTA OFFICE FUND MGR MIRVAC GROUP PROPERTY NSR NATIONAL STORAGE REIT SCG SCENTRE GROUP SCP SHOPPING CENTRES AUST SGP STOCKLAND VCX VICINITY CENTRES ORDI WFD WESTFIELD CORPORATION For further information please contact: Smartshares Limited 0800 80 87 80 [email protected] End CA:00280068 For:ASP Type:NTA Time:2016-03-31 09:37:45
Ann: NTA: ASP: ASP EX-DIV NTA 30-03-2016 $1.33936
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