Cboe Announcements

Talaria Global Equity Fund – Currency Hedged (Managed Fund) (TLRH)

TLRH - Monthly redemptions and net units on issue October 2024

2024-11-07 02:42:41 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-11-02 01:36:54 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue September 2024

2024-10-04 20:28:34 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Final Distributions September 2024

2024-10-02 02:09:39 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-10-02 00:11:41 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Estimated Distribution 30 September 2024

2024-09-25 02:53:10 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Annual Report 2024

2024-09-24 01:41:12 • 49 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 31 August 2024

2024-09-06 00:03:11 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-09-03 02:43:41 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

Quarterly disclosure of correlation between MPI and NAV - TLRH - June 30 2024

2024-08-28 01:29:12 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

Quarterly disclosure of holdings - TLRH - June 30 2024

2024-08-28 01:26:53 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue July 2024

2024-08-07 23:36:50 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-08-02 00:32:14 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue June 2024

2024-07-04 00:55:14 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-07-01 21:07:29 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Final Distribution 30 June 2024

2024-07-01 18:34:58 • 1 Pages

Reporter Type
Funds - Distribution Announcement

Issuer
TLR

TLRH Estimated Distribution 30 June 2024

2024-06-26 02:02:59 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue May 2024

2024-06-05 22:36:02 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-06-04 02:02:18 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Quarterly disclosure of correlation between MPI and NAV March 2024

2024-05-23 20:40:24 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Quarterly Portfolio Holdings March 2024

2024-05-23 20:23:44 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue April 2024

2024-05-03 20:45:16 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-05-02 02:46:08 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue March 2024

2024-04-06 02:27:02 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Final Distributions March 2024

2024-04-03 22:58:20 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-04-03 00:30:31 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Estimated Distribution 31 March 2024

2024-03-22 03:15:29 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue February 2024

2024-03-06 03:20:10 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2024-03-01 22:48:09 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH iNAV disparity announcement

2024-02-28 01:54:18 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Quarterly disclosure of correlation between MPI and NAV December 2023

2024-02-22 00:34:11 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Quarterly Portfolio Holdings December 2023

2024-02-22 00:25:25 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Change of auditor announcement

2024-02-13 01:32:38 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue January 2024

2024-02-05 21:24:01 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH – Aggregate notional value of delta adjusted derivatives

2024-02-02 23:52:59 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue December 2023

2024-01-03 23:05:50 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Final Distribution 31 December 2023

2024-01-03 03:41:50 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH – Aggregate notional value of delta adjusted derivatives

2024-01-02 22:54:06 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Estimated Distribution 31 December 2023

2023-12-22 01:36:32 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Product Disclosure Statement for TLRA dated 21 December 2023

2023-12-21 19:43:16 • 25 Pages

Reporter Type
Funds - PDS

Issuer
TLR

TLRH - Monthly redemptions and net units on issue November 2023

2023-12-05 01:46:53 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH – Aggregate notional value of delta adjusted derivatives

2023-12-01 23:01:45 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Quarterly Portfolio Holdings September 2023

2023-11-21 01:57:30 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Quarterly disclosure of correlation between MPI and NAV September 2023

2023-11-20 20:19:15 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue October 2023

2023-11-04 01:57:08 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH – Aggregate notional value of delta adjusted derivatives

2023-11-02 02:10:16 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 30 September 2023

2023-10-06 00:47:14 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 30 September 2023

2023-10-06 00:47:14 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Final Distribution 30 September 2023

2023-10-04 19:00:08 • 1 Pages

Reporter Type
Funds - Dividend Rate

Issuer
TLR

TLRH – Aggregate notional value of delta adjusted derivatives

2023-10-03 02:16:23 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Annual Report 2023

2023-09-26 20:06:50 • 43 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Estimated Distribution 30 September 2023

2023-09-22 23:57:19 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 31 August 2023

2023-09-06 00:22:51 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-09-02 00:55:38 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

Quarterly disclosure of holdings - TLRH - June 30 2023

2023-08-24 19:23:38 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 31 July 2023

2023-08-05 00:30:16 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

Quarterly disclosure of correlation between MPI and NAV - TLRH - June 30 2023

2023-08-04 20:05:47 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-08-02 01:22:56 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 30 June 2023

2023-07-08 01:40:21 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-07-03 23:34:12 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Final Distribution 30 June 2023

2023-07-03 19:00:09 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Estimated Distribution 30 June 2023

2023-06-24 01:56:55 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Monthly redemptions and net units on issue 31 May 2023

2023-06-08 01:54:24 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-06-02 01:59:22 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Quarterly Portfolio Holdings - 31 March 2023

2023-05-26 01:12:31 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH Quarterly disclosure of correlation between MPI and NAV 31 March 2023

2023-05-18 21:35:39 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue as at 30 April 2023

2023-05-04 21:41:17 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-05-03 19:23:04 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue as at 31 March 2023

2023-04-07 03:18:16 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Final Distribution for the period ending 31 March 2023

2023-04-05 22:14:42 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-04-05 02:12:43 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Estimated distribution for period ending 31 March 2023

2023-03-25 04:21:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Interim Financial Report

2023-03-15 04:33:00 • 21 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Monthly redemptions and net units on issue as at 28 February 2023

2023-03-07 05:02:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
TLR

TLRH - Aggregate notional value of delta adjusted derivatives

2023-03-02 16:26:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly disclosure of correlation between MPI and NAV 31 December 2022

2023-02-22 17:30:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Portfolio Holdings - 31 December 2022

2023-02-15 11:18:00 • 2 Pages

Reporter Type
Funds - PDS

Issuer
Australian Unity Funds Management Limited

TLRH - Monthly redemptions and net units on issue as at 31 January 2023

2023-02-07 18:05:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2023-02-02 17:22:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRA TLRH 11/01/23 prices

2023-01-13 10:53:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRA & TLRH unit prices for effective 11/1/23

2023-01-13 9:55:00 • 3 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Monthly redemptions and net units on issue as at 31 December 2022

2023-01-06 15:33:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Final distribution for period ending 30 December 2022

2023-01-04 16:57:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2023-01-03 16:28:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Estimated distribution for period ending 30 December 2022

2022-12-22 12:59:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Monthly redemptions and net units on issue as at 30 November 2022

2022-12-07 12:27:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2022-12-02 17:49:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Portfolio Holdings - 30 September 2022

2022-11-29 17:20:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly disclosure of correlation between MPI and NAV 30 September 2022

2022-11-28 16:58:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly Update - October 2022

2022-11-17 11:06:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue - 31 October 2022

2022-11-07 10:06:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2022-11-02 17:56:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Update - September 2022

2022-10-13 17:05:00 • 10 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue - 30 September 2022

2022-10-07 14:30:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Final Distribution - 30 September 2022

2022-10-06 14:28:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2022-10-03 17:35:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Product Disclosure Statement dated 30 September 2022

2022-09-30 18:31:00 • 26 Pages

Reporter Type
Funds - PDS

Issuer
Australian Unity Funds Management Limited

TLRH - Annual report for the year ended 30 June 2022

2022-09-30 13:16:00 • 44 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Estimated distribution for period ending 30 September 2022

2022-09-26 16:48:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly reports 31 August 2022

2022-09-14 15:41:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue 31 August 2022

2022-09-06 15:20:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2022-09-01 17:55:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Portfolio Holdings 30 June 2022

2022-08-18 14:20:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly disclosure of correlation between MPI and NAV - June 2022

2022-08-16 15:25:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Monthly redemptions and net units on issue as at 31 July 2022

2022-08-04 16:52:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2022-08-01 15:31:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Update - June 2022

2022-07-14 17:27:00 • 10 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Monthly redemptions and net units on issue as at 30 June 2022

2022-07-06 15:29:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TRLH - Final Distribution for the period ending 30 June 2022

2022-07-04 11:30:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TRLH - Aggregate notional value of delta adjusted derivatives

2022-07-01 15:23:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Estimated distribution for period ending 30 June 2022

2022-06-24 16:12:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Monthly redemptions and net units on issue as at 31 May 2022

2022-06-07 14:52:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Aggregate notional value of delta adjusted derivatives

2022-06-01 13:50:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Interim Financial Report

2022-05-19 8:28:00 • 18 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly disclosure of correlation between MPI and NAV 31 March 2022

2022-05-17 8:21:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Portfolio Holdings - 31 March 2022

2022-05-06 11:53:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue 30 April 2022

2022-05-05 14:46:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Aggregate notional value of delta adjusted derivatives

2022-05-02 17:07:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue March 2022

2022-04-06 16:24:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Final Distribution March Quarter

2022-04-05 15:25:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Aggregate notional value of delta adjusted derivatives

2022-04-01 16:06:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Estimated Distribution March Quarter

2022-03-25 15:03:00 • 2 Pages

Reporter Type
Funds - Distribution Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue Feb 2022

2022-03-04 14:00:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Aggregate notional value of delta adjusted derivatives

2022-03-01 17:12:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Quarterly Portfolio Disclosure as at 31 December 2021

2022-02-24 16:29:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Correlation Between MPI and Full Portfolio Holdings to Dec 21

2022-02-18 11:54:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Fund Update January 2022

2022-02-16 10:31:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Monthly redemptions and net units on issue January 2022

2022-02-04 17:04:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Aggregate notional value of delta adjusted derivatives

2022-02-01 16:36:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Monthly redemptions and units on issue December 2021

2022-01-05 15:43:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Aggregate notional value of delta adjusted derivatives

2022-01-04 15:55:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH Estimated Distribution for the quarter ending 31 December 2021

2021-12-24 9:38:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Fractional Units

2021-12-16 12:36:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Fund Update November 2021

2021-12-10 13:36:00 • 2 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH: Redemptions and total units on issue November 2021

2021-12-02 17:06:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

Aggregate notional value of delta adjusted derivatives: TLRH

2021-12-01 16:17:00 • 1 Pages

Reporter Type
Funds - Issuer Announcement

Issuer
Australian Unity Funds Management Limited

TLRH - Product Disclosure Statement

2021-11-11 9:02:00 • 27 Pages

Reporter Type
Funds - PDS

Issuer
Australian Unity Funds Management Limited