Latest Distribution Reinvestment Plans News

Page 13 of 15
JPMorgan Asset Management has announced the final cash distributions for February 2025 across several of its active ETFs, providing investors with key dates and reinvestment options.
Claire Turing
Claire Turing
6 Feb 2025
Garda Property Group reported a net loss of $10.19 million for the half-year ended December 31, 2024, yet maintained its interim dividend, signaling resilience amid asset value declines.
Eva Park
Eva Park
6 Feb 2025
360 Capital Mortgage REIT reported a solid half-year profit increase to $1.34 million and launched a strategic capital raising to grow its senior loan investments. Distributions rose notably, reflecting confidence in its expanding loan portfolio amid rising interest rates.
Claire Turing
Claire Turing
6 Feb 2025
BlackRock Investment Management (Australia) Limited has announced estimated cash distributions for three Australian iShares ETFs, outlining key dates and reinvestment options for investors.
Claire Turing
Claire Turing
5 Feb 2025
Perennial Investment Management Limited has announced an estimated monthly distribution of 1.785 cents per unit for January 2025 for the Perennial Income Generator Fund (ASX: EIGA), outlining key dates and options for unitholders.
Claire Turing
Claire Turing
5 Feb 2025
Macquarie Investment Management Australia Limited has announced a final distribution of 3.9 cents per unit for its Income Opportunities Active ETF for the period ending 31 January 2025, alongside key dates for distribution and reinvestment options.
Claire Turing
Claire Turing
4 Feb 2025
JPMorgan Asset Management has updated its February 2025 cash distribution amounts for several of its equity premium income ETFs, reinforcing its commitment to delivering steady income streams to investors.
Claire Turing
Claire Turing
4 Feb 2025
Janus Henderson Investors has announced the final distribution for its Sustainable Credit Active ETF, delivering 18.3819 cents per unit for January 2025. Key dates for investors include the ex-date on 3 February and payment on 13 February.
Claire Turing
Claire Turing
3 Feb 2025
Betashares Capital Ltd has announced the final distribution amounts for its suite of funds for the January 2025 period, outlining key dates and eligibility for unitholders.
Claire Turing
Claire Turing
31 Jan 2025
Betashares Capital Ltd has announced a final distribution of 8.02 cents per unit for its Western Asset Australian Bond Active ETF for January 2025, outlining key dates and reinvestment options for investors.
Claire Turing
Claire Turing
31 Jan 2025
Global X Management (AUS) Limited has announced updated estimated distribution amounts for its Australian Bank Credit, NASDAQ 100 Covered Call, and S&P 500 Covered Call ETFs for the period ending January 31, 2025.
Claire Turing
Claire Turing
30 Jan 2025
Betashares Capital Ltd has announced estimated distribution amounts for its suite of ASX-listed funds for the January 2025 period, providing investors with crucial income expectations ahead of final figures.
Claire Turing
Claire Turing
30 Jan 2025