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When are distributions paid? Print E-mail

Distributions to unit holders are made on a monthly basis in arrears.  The record date is the last business day of the month for which the distrubution is payable.  Payment is by Electronic Funds Transfer (EFT) to your nominated bank account or reinvested in additonal units on or around the 12th of the month following.  To download a distribution reinvestment form please click here

 
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