Latest Managed Investment Trusts News

Page 7 of 8
State Street Global Advisors announces a substantial cash distribution for the SPDR S&P World ex Australia Carbon Aware ETF, highlighting a blend of income and tax credits for investors.
Claire Turing
Claire Turing
27 June 2025
Magellan Asset Management announces a 12.25 cents per unit final distribution for its High Conviction Trust Active ETF for the six months ending June 2025, with key dates set for investors.
Claire Turing
Claire Turing
26 June 2025
Magellan Asset Management announces a 7.33 cents per unit final distribution for the Airlie Australian Share Fund – Active ETF for the six months ended June 30, 2025, alongside key dates for investors to note.
Claire Turing
Claire Turing
26 June 2025
Magellan Asset Management announces a 16.25 cents per unit final distribution for its Global Fund Active ETF for the six months ending June 2025, with key dates set for early July.
Claire Turing
Claire Turing
26 June 2025
JPMorgan Asset Management has announced the June 2025 distribution and provided detailed tax attribution estimates for its US 100Q Equity Premium Income Active ETF, highlighting key income components and withholding tax implications.
Claire Turing
Claire Turing
12 June 2025
Betashares Capital Ltd has announced the final distribution amounts for May 2025 for a suite of 16 ETFs listed on the ASX AQUA market, all franked and eligible for reinvestment via the Distribution Reinvestment Plan.
Claire Turing
Claire Turing
30 May 2025
HomeCo Daily Needs REIT has announced a quarterly distribution of 2.125 cents per unit for the period ending March 31, 2025, reaffirming its commitment to delivering steady income to investors.
Eva Park
Eva Park
20 May 2025
State Street Global Advisors announces significant fee reductions and rebranding for its SPDR Australian Bond ETFs, aligning with the iBoxx index series to enhance market positioning and investor appeal.
Claire Turing
Claire Turing
19 May 2025
Charter Hall Long WALE REIT has announced a 6.25 cents per stapled security distribution for the quarter ended March 31, 2025, featuring a significant AMIT Fund Payment component. This distribution reflects the REIT’s ongoing commitment to delivering steady income to investors under the Attribution Managed Investment Trust framework.
Eva Park
Eva Park
13 May 2025
Betashares Capital Ltd has announced the final distribution amounts for its suite of ETFs for April 2025, alongside details on the distribution reinvestment plan and tax considerations.
Claire Turing
Claire Turing
30 Apr 2025
VanEck Investments Limited has released detailed dividend component breakdowns for ten of its exchange traded funds for the period ending 31 January 2025, outlining key dates and tax information.
Claire Turing
Claire Turing
11 Feb 2025
360 Capital Mortgage REIT has updated the market with the payment of a 5.2 cent per unit distribution for January 2025, marking its first under the Attribution Managed Investment Trust (AMIT) regime.
Eva Park
Eva Park
7 Feb 2025