The release of unit prices and timeframes for receiving and processing Investment Choice forms will vary due to the upcoming Easter and ANZAC Day public holidays.

 

How does this affect you?

  • Investment Choice forms received between Tuesday 11 April and 5.00pm Wednesday 12 April will be processed with an effective date of Wednesday 19 April 2017.
  • Investment Choice forms received between Thursday 13 April and 5.00pm Thursday 20 April will be processed with an effective date of Tuesday 25 April 2017.
  • Investment Choice forms received between Friday 21 April and 5.00pm Monday 24 April will be processed with an effective Friday 28 April 2017.