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Estimated distribution for year ending 30 June 2023
|
28 June 2023 at 9:40am
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|
Change of Registered Office Address
|
23 June 2023 at 9:35am
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Investment Update 31 May 2023
|
13 June 2023 at 11:50am
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Monthly Redemptions and Units on Issue as at 31 May 2023
|
6 June 2023 at 11:05am
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|
Quarterly portfolio disclosure as at 31 March 2023
|
31 May 2023 at 10:15am
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Investment Update 30 April 2023
|
10 May 2023 at 2:30pm
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Monthly Redemptions and Units on Issue as at 30 April 2023
|
4 May 2023 at 10:05am
|
|
Investment Update 31 March 2023
|
11 April 2023 at 3:10pm
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|
Monthly Redemptions and Units on Issue as at 31 March 2023
|
6 April 2023 at 9:35am
|
|
2023 Interim Financial Report
|
13 March 2023 at 2:30pm
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Investment Update 28 February 2023
|
10 March 2023 at 11:15am
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|
Change of Auditor
|
7 March 2023 at 11:15am
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|
Monthly Redemptions & Units on Issue as at 28 February 2023
|
6 March 2023 at 9:30am
|
|
Quarterly portfolio disclosure as at 31 December 2022
|
28 February 2023 at 9:40am
|
|
Investment Update 31 January 2023
|
9 February 2023 at 11:30am
|
|
Monthly Redemptions and Units on Issue as at 31 January 2023
|
6 February 2023 at 11:05am
|
|
Investment Update 31 December 2022
|
10 January 2023 at 3:45pm
|
|
Monthly Redemptions and Units on Issue at 31 December 2022
|
6 January 2023 at 10:35am
|
|
Issue of New WCMQ Units
|
30 December 2022 at 11:40am
|
|
Investment Update 30 November 2022
|
12 December 2022 at 10:20am
|
|
Monthly Redemptions and Units on Issue as at 30 November 202
|
6 December 2022 at 4:05pm
|
|
Quarterly portfolio disclosure as at 30 September 2022
|
30 November 2022 at 1:20pm
|
|
Investment Update 31 October 2022
|
10 November 2022 at 12:35pm
|
|
Monthly Redemptions and Units on Issue as at 31 October 2022
|
4 November 2022 at 9:55am
|
|
Investment Update 30 September 2022
|
11 October 2022 at 1:20pm
|
|
Monthly Redemptions and Units on Issue as at 30 September 22
|
6 October 2022 at 9:10am
|
|
Becoming a substantial holder
|
30 September 2022 at 5:30pm
|
|
Product Disclosure Statement - Updated
|
30 September 2022 at 12:30pm
|
|
Annual Financial Report 30 June 2022
|
27 September 2022 at 10:35am
|
|
Investment Update 31 August 2022
|
12 September 2022 at 11:25am
|
|
Monthly Redemptions and Units on Issue as at 31 August 2022
|
5 September 2022 at 12:55pm
|
|
Quarterly portfolio disclosure as at 30 June 2022
|
31 August 2022 at 12:20pm
|
|
Investment Update 31 July 2022
|
10 August 2022 at 2:45pm
|
|
Monthly Redemptions and Units on Issue as at 31 July 2022
|
4 August 2022 at 10:20am
|
|
Investment Update 30 June 2022
|
12 July 2022 at 2:35pm
|
|
DRP Price - Distribution year ending 30 June 2022
|
8 July 2022 at 11:00am
|
|
Final distribution for year ending 30 June 2022
|
6 July 2022 at 12:45pm
|
|
Monthly Redemptions and Units on Issue as at 30 June 2022
|
6 July 2022 at 10:40am
|
|
Estimated distribution for year ending 30 June 2022
|
28 June 2022 at 9:55am
|
|
Investment Update 31 May 2022
|
14 June 2022 at 2:20pm
|
|
Monthly Redemptions and Units on Issue as at 31 May 2022
|
6 June 2022 at 9:55am
|
|
Quarterly portfolio disclosure as at 31 March 2022
|
31 May 2022 at 11:50am
|
|
Revised - Investment Update 30 April 2022
|
11 May 2022 at 5:25pm
|
|
Investment Update 30 April 2022
|
11 May 2022 at 9:05am
|
|
Monthly Redemptions and Units on Issue as at 30 April 2022
|
5 May 2022 at 10:00am
|
|
Investment Update 31 March 2022
|
13 April 2022 at 2:45pm
|
|
Distribution Reinvestment Plan
|
8 April 2022 at 9:05am
|
|
Monthly Redemptions and Units on Issue as at 31 March 2022
|
7 April 2022 at 9:15am
|
|
Quarterly portfolio disclosure as at 31 December 2021
|
1 April 2022 at 9:20am
|
|
Investment Update 28 February 2022
|
11 March 2022 at 11:35am
|