Date: 30 June 2025
Fund name: Implemented International Share Portfolio
APIR code: PER0711AU
Distribution Components |
C.P.U. |
Domestic interest - Subject to withholding tax |
0.021157 |
Net franked dividends |
0.019696 |
Net foreign income |
1.184774 |
NTAP Capital gains - discounted |
7.448256 |
NTAP Capital gains - other method |
0.122260 |
CGT concession amount |
7.448256 |
Non attributable / tax deferred amount |
- |
Franking credits |
0.011806 |
Foreign income tax offset |
0.201670 |
Total distribution amount |
16.457875 |
FUND PAYMENT |
0.000000 |