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Macquarie Corporate Bond Fund - Estimated Distribution Guidance
CPU – Cents per unit
The unit prices listed above are ex prices calculated as at the specified CPU date and are provided for information purposes only.
Ex price means the unit price calculated at the end of a distribution period after adjusting for the distribution associated with that distribution period.
The application and redemption prices take into account an estimate of transaction costs that a Fund may recover from you when you apply for, or redeem, units. The applicable transaction costs may be varied from time to time. Transactions on a distribution date for a Fund (for example, 31 December) will be at the cum price. Cum price means that income, realised capital gains and any returns of capital (which form part of the distribution) are included in the unit price. Distributions that are reinvested as additional units are valued at ex prices. While all due care has been taken in the calculation of the unit prices and distribution information, such information may be updated where necessary.