Issuer Announcements

 

Date

Time

Issuer

Announcement

PP

12 Nov 2019

11:39:00 AM

ECA

ECAS - Net Asset Value per Unit - 12 November 2019

1

12 Nov 2019

09:41:00 AM

ECA

eInvest Cash Booster Fund (Managed Fund) PDS

32

12 Nov 2019

09:32:00 AM

ECA

Admission of the eInvest Cash Booster Fund (Managed Fund) (code: ECAS) to Quotation Status

1

04 Nov 2019

04:34:00 PM

XKA

Monthly redemptions units on issue and OTC Exposure notification

1

14 Oct 2019

05:18:00 PM

XKA

Admission of the ActiveX Kapstream Absolute Return Income Fund(Managed Fund)

1

14 Oct 2019

04:25:00 PM

XKA

ActiveX Kapstream Absolute Return Income Fund (Managed Fund) PDS

36

1