Skip to main content

$20.81 0.06 (0.29%)

High

$20.98

Low

$20.54

Trades

97

Turnover

$746,100

Volume

36,051
30 June 2023 at 4:10pm
Register to track MVA and receive email alerts.
Subject
MVA Ann: Final Dividend/Distribution for period ending 30 June 2023

MVA Ann: Dividend timetable

MVA Ann: Issued Units Outstanding as at 31 May 2023

MVA Ann: Issued Units Outstanding as at 30 April 2023

MVA Ann: Issued Units Outstanding as at 31 March 2023

MVA Ann: Half-Year Financial Report

MVA Ann: Issued Units Outstanding as at 28 Feb 2023

MVA Ann: Number of Outstanding Units as at 31 January 2023

MVA Ann: Indicative dividends calendar for 2023

MVA Ann: Dividend component details

MVA Ann: Number of Outstanding Units as at 31 December 2022

MVA Ann: Dividend Reinvestment Plan Prices

MVA Ann: Final Dividend/Distribution for period ending 31 Dec 2022

MVA Ann: Dividend timetable

MVA Ann: Number of Outstanding Units as at 30 November 2022

MVA Ann: Number of Outstanding Units as at 31 October 2022

MVA Ann: Number of Outstanding Units as at 30 September 2022

MVA Ann: Annual Report FYE 30 June 2022

MVA Ann: Replacement Product Disclosure Statement

MVA Ann: Number of Outstanding Units as at 31 August 2022

MVA Ann: Number of Outstanding Units as at 31 July 2022

MVA Ann: Dividend component details

MVA Ann: Replacement Product Disclosure Statement

MVA Ann: Number of Outstanding Units as at 30 June 2022

MVA Ann: Dividend Reinvestment Plan Prices

MVA Ann: Final Dividend/Distribution for period ending 30 June 2022

MVA Ann: Dividend timetable

MVA Ann: Number of Outstanding Units as at 31 May 2022

MVA Ann: Number of Outstanding Units as at 30 April 2022

MVA Ann: Number of Outstanding Units as at 31 March 2022

MVA Ann: Half-Year Financial Report

MVA Ann: Number of Outstanding Units as at 28 February 2022

MVA Ann: Indicative dividends calendar for 2022

MVA Ann: Number of Outstanding Units as at 31 January 2022

MVA Ann: Dividend component details

MVA Ann: Dividend Reinvestment Plan Prices

MVA Ann: Number of Outstanding Units as at 31 December 2021

MVA Ann: Final Dividend/Distribution for period ending 31 Dec 2021

MVA Ann: Dividend timetable

MVA Ann: Number of Outstanding Units as at 30 November 2021

MVA Ann: Number of Outstanding Units as at 31 October 2021

MVA Ann: Number of Outstanding Units as at 30 September 2021

MVA Ann: Annual Report FYE 30 June 2021

MVA Ann: Number of Outstanding Units as at 31 August 2021

MVA Ann: Number of Outstanding Units as at 31 July 2021

MVA Ann: Change of address and fund names

MVA Ann: Dividend component details

MVA Ann: Number of Outstanding Units as at 30 June 2021

MVA Ann: Dividend Reinvestment Plan Prices

MVA Ann: Final Dividend/Distribution for period ending 30 June 2021

Register to track MVA and receive email alerts.