- Release Date: 24/03/16 09:51
- Summary: NTA: DIV: DIV NTA 23-03-2016 $1.07851
- Price Sensitive: No
- Download Document 1.62KB
DIV 24/03/2016 09:51 NTA NOT PRICE SENSITIVE REL: 0951 HRS New Zealand Dividend Index Trust (NS) NTA: DIV: DIV NTA 23-03-2016 $1.07851 24-Mar-16 New Zealand Dividend Index Trust NTA & Allotment Notice The manager of the New Zealand Dividend Index Trust advises that as at close of business on 23 March 2016 a total of Nil units has been redeemed or allotted since 22 March 2016. The total number of units on issue on that day was 22,712,302. The asset backing for each DIV unit at close of business on 23 March 2016 was $1.07851 (NTA is net of applicable tax liability). The tracking difference was 1.57% Please note Basket applications and redemptions will be unavailable from Monday 14 March to Wednesday 30 March. Basket applications and redemptions will resume on Thursday 31 March The following companies are currently in the Fund: Code Security description AIA AUCKLAND INTERNATIONA AIR AIR NEW ZEALAND LTD ANZ ANZ BANKING GROUP ARG ARGOSY PROPERTY LIMIT CEN CONTACT ENERGY LIMITE EBO EBOS GROUP LIMITED FBU FLETCHER BUILDING LTD FRE FREIGHTWAYS LIMITED FSF FSF MANAGEMENT COMPAN GMT GOODMAN PROPERTY TRUS GNE GENESIS ENERGY LTD HBL HEARTLAND BANK LIMITE IFT INFRATIL LIMITED KPG KIWI PROPERTY GROUP L MEL MERIDIAN ENERGY LT NP MFT MAINFREIGHT LIMITED MRP MIGHTY RIVER POWER LT NPX NUPLEX INDUSTRIES LIM PCT PRECINCT PROPERTIES N SKC SKYCITY ENTERTAINMENT SKT SKY NETWORK TELEVISIO SPK SPARK NEW ZEALAND LIM TME TRADE ME GROUP LIMITE WBC WESTPAC BANKING CORPO ZEL Z ENERGY LTD For further information please contact: Smartshares Limited 0800 80 87 80 [email protected] End CA:00279839 For:DIV Type:NTA Time:2016-03-24 09:51:10
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