Twelve month trailing distribution yield

As at 2024-02-26

1.28%

Distribution history

Payable date Total
2023-12-20 0.1500
2023-09-22 0.1255
2023-06-23 0.1623
2023-03-24 0.1244
2022-12-21 0.1630
2022-09-22 0.1630
2022-06-23 0.1470
2022-03-24 0.0980
2021-12-23 0.1170
2021-09-23 0.1170
2021-06-30 0.1710
2021-03-31 0.0900

Tax-factor breakdown

Total Cash Reinvested Eligible dividends Non eligible dividends Other income Capital Gains Return of capital Foreign Income Foreign tax paid Special
2022 3.1387 0.5710 2.5677 - - - 2.5135 - 0.7355 0.1103 -
2021 1.4509 0.4950 0.9559 - - - 0.8951 - 0.6538 0.0981 -
2020 0.4820 0.4820 - - - - - 0.0060 0.5600 0.0840 -
2019 0.4790 0.4790 - - - - 0.0125 0.1767 0.3332 0.0435 -
2018 0.5780 0.2800 0.2980 - - - 0.5665 - 0.0132 0.0017 1.0000
2017 1.8604 0.2850 1.5754 - - - - 0.1250 1.7838 0.0484 1.0000
2016 0.9259 0.1300 0.7959 - - - - - 0.9592 0.0332 1.0000

(1) Future distribution dates may be amended at any time. (2) Reinvested distributions are not paid in cash but instead remain invested in the Fund. To recognize that these distributions have been allocated to investors for tax purposes the amounts of these distributions should be added to the adjusted cost base of the units held. (3) The characterization of distributions for tax purposes (such as dividends/other income/capital gains etc.) will not be known for certain until after the Fund's tax year end. Therefore investors will be informed of the characterization of the amounts distributed for tax purposes only for the entire year and not with each distribution. For tax purposes these amounts will be reported by brokers on official tax statements.