Date: 30 June 2025
Fund name: Vanguard Australian Property Securities Index
APIR code: PER0509AU
Distribution Components | C.P.U. |
---|---|
Net foreign income | 0.101406 |
TAP Capital gains - discounted | 0.108141 |
NTAP Capital gains - discounted | 5.585394 |
CGT concession amount | 5.693535 |
Non assessable / tax deferred amount | - |
Total distribution amount | 11.488476 |
FUND PAYMENT | 0.216282 |