Date: 30 June 2026
Fund name: Implemented International Share Portfolio
APIR code: PER0711AU
| Distribution Components | C.P.U. |
|---|---|
| Domestic interest - Subject to withholding tax | 0.017466 |
| Net franked dividends | 0.033683 |
| Conduit Foreign Income | 0.004373 |
| Net foreign income | 1.177300 |
| NTAP Capital gains - discounted | - |
| CGT concession amount | - |
| Non assessable / tax deferred amount | - |
| Franking credits | 0.017483 |
| Foreign income tax offset | 0.177294 |
| Total distribution amount | 1.427599 |
| FUND PAYMENT | 0.000000 |