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Price

$25.36

4pm Dec 10, 2018

LATEST Change

+$0.03 (0.12%)

LATEST Volume

3,660

Market Cap

$25.3m

The Fund invests in an actively managed, diversified portfolio of Australian bonds and aims to provide an after-fee return above the Bloomberg AusBond Composite Index over rolling three-year periods.
Aims to provide efficient acc

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Fund Details

Fund Manager: Betashares
Inception Date: Nov 2018
Fund Structure: Exchange Traded Fund
Management Costs: 0.42%
Performance Fees: No
Average Volume: 1,865 units
Region: Australia
Industry: Fixed Income
Focus: Active Fixed Income
Benchmark: N/A
Dividend Yield: 0.00%
Franking: N/A
Dividend Frequency: Monthly

Fund Performance

1M
3M
YTD
1Y
3Y pa
5Y pa
10Y pa
BNDS
0%
0%
0%
N/A
N/A
N/A
N/A

Dividend History

News & Blogs

Latest Announcements

Date
Article
2018-12-04
Units on Issue Disclosure - November 2018
2018-12-03
Announcement of DRP Issue Price
2018-11-30
Final Distribution Announcement
2018-11-28
Estimated Distribution Announcement

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