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Documents frequently used by investors and advisers.

Research Reports

Smarter Money Fund

Coolabah Short Term Income Fund

Smarter Money Long-Short Credit Fund

Coolabah Active Composite Bond Fund (Hedge Fund)

Educational Documents

Distributions

Smarter Money Fund

Distribution Per Unit ($)

Qtr Ending Assisted Investor Class Institutional Class ABase Fee
APIR Code CRE0014AU CRE0015AUETL6313AU
31-Dec-240.0130.0130.013
30-Sep-240.0130.0130.013
30-Jun-240.017693340.015244230.01685564
31-Mar-240.0140.0141.399876
31-Dec-230.0120.0120.012
30-Sep-230.010.010.01
30-Jun-230.0110.0110.01099361
31-Mar-230.00850.00850.0085
30-Dec-220.00650.00650.00650220
30-Sep-220.00450.00450.0045
30-Jun-220.00720.00980.0103
31-Mar-220.002 0.0020.002
31-Dec-210.0015 0.00150.0015
30-Sep-210.0015 0.00150.0015
30-Jun-210.00194113 0.003642670.0023
31-Mar-210.01051509 0.006876240
31-Dec-200.01 0.010
30-Sep-200.007 0.0070
30-Jun-200.003 0.0030
31-Mar-200.0070751 0.010584630
31-Dec-190.004 0.0040
30-Sep-190.004 0.0040
30-Jun-190.0058 0.00580
31-Mar-190.007 0.0070
31-Dec-180.007 0.0070
30-Sep-180.007 0.0070
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Coolabah Short Term Income Fund

Distribution Per Unit ($)

Quarter EndingAssisted Investor ClassDirect Investor ClassInstitutional Class ABase FeeUSD Investor Class
APIR Code SLT0052AUSLT0051AUSLT7141AUETL8504AUETL3997AU
31-Dec-240.0140.0140.0140.0141.4
30-Sep-240.0140.0140.0140.014
30-Jun-240.015551770.012350240.015746080.01966167 0.01915967
31-Mar-240.01450.01450.01450.01450.01250639
31-Dec-230.0120.0120.0120.0120.012
30-Sep-230.010.010.010.010.014
30-Jun-230.01150.01150.013603170.01150.15304470
31-Mar-230.0090.0090.0090.009-
30-Dec-220.00650.00650.00650.0065-
30-Sep-220.0050.0050.0050.005-
30-Jun-220.0020.0020.0020.0020.0056
31-Mar-22 0.0022 0.00220.00220.0022 -
31-Dec-21 0.002 0.002 0.0020.002 -
30-Sep-21 0.002 0.002 0.0020.002 -
30-Jun-21 0.00836584 0.00811482 0.009750790.00830.00270747
31-Mar-21 0.00553333 0.00571063 0.007127560.0055-
31-Dec-20 0.007 0.007 0.010.007-
30-Sep-20 0.009 0.009 0.0090.009-
30-Jun-20 0.004 0.004 0.0040.004-
31-Mar-20 0.00497766 0.00665759 0.00075680.0049 -
31-Dec-19 0.004 0.004 0.00734420.004-
30-Sep-19 0.0042 0.0042 -0.0042-
30-Jun-19 0.0068 0.0068 -0.0068-
31-Mar-19 0.0075 0.0075 -0-
31-Dec-18 0.0075 0.0075-0.0075-
30-Sep-18 0.0075 0.0075 -0-
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Coolabah Floating-Rate High Yield Fund (Managed Fund)

Distribution Per Unit ($)

Quarter EndingAssisted Investor ClassInstitutional Class
APIR CodeETL5010AUETL6855AU
31-Dec-240.650.65
30-Sep-240.700.70
30-Jun-240.822457720.75314480
31-Mar-240.750.75
31-Dec-230.550.55
30-Sep-230.510.51
30-Jun-230.600.60
31-Mar-230.550.55
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Smarter Money Long-Short Credit Fund

Distribution Per Unit ($)

Quarter EndingDirect Investor ClassInstitutional ClassUSD Investor Class
APIR CodeSLT2562AUSLT3458AUETL7843AU
31-Dec-240.0170.017-
30-Sep-240.0170.017-
30-Jun-240.01850.01850.12235895
31-Mar-240.0170.0170.02690623
31-Dec-230.0130.0130.00
30-Sep-230.0120.0120.00
30-Jun-230.0150.0150.00
31-Mar-230.01150.01150.00406901
30-Dec-220.00960.00960.01302151
30-Sep-220.00700.00700.0070
30-Jun-220.03910.04890.0132
31-Mar-22 0.0150.015-
31-Dec-21 0.0050.005 -
30-Sep-21 0.005876930.00910232 -
30-Jun-21 0.00981060.00695632 0.00126168
31-Mar-21 0.023051510.0254033 -
31-Dec-20 0.02 0.020.0170863
30-Sep-20 0.0180.018 -
30-Jun-20 0.00580.0058 -
31-Mar-20 0.005129670.00589136 -
31-Dec-19 0.0070.007 -
30-Sep-19 0.0090.009 -
30-Jun-19 0.012450.01245 -
31-Mar-19 0.010.01-
31-Dec-18 0.010.01-
30-Sep-18 0.00880.0088-
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Coolabah Long-Short Opportunities Fund

Distribution Per Unit ($)

Quarter EndingAssisted Investor ClassInstitutional Class
APIR CodeETL6881AUETL9059AU
31-Dec-24 0.0180.018
30-Sep-240.020.02
30-Jun-240.0514070.02099593
31-Mar-240.0180.018
31-Dec-230.0160.016
30-Sep-230.0160.016
30-Jun-230.0180.018
31-Mar-230.01150.0115
30-Dec-220.00960.0096
30-Sep-220.0070.007
30-Jun-220.0050.005
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Coolabah Active Composite Bond Fund (Hedge Fund)

Distribution Per Unit ($)

Qtr EndingEx DateRecord DatePayment DateDistribution Unit ($)DRP Price
31-Mar-2501-Apr-2502-Apr-2517-Apr-250.40
31-Dec-2402-Jan-2503-Jan-2521-Jan-250.7926.3052
30-Sep-2401-Oct-2402-Oct-2418-Oct-240.4027.0085
30-Jun-2401-Jul-2402-Jul-2418-Jul-240.4026.4845
31-Mar-2402-Apr-2403-Apr-2417-Apr-240.4026.8369
31-Dec-2302-Jan-2403-Jan-2418-Jan-240.3726.7719
30-Sep-2303-Oct-2304-Oct-2318-Oct-230.3525.8339
30-Jun-2303-Jul-2304-Jul-2321-Jul-230.3525.9223
31-Mar-2303-Apr-2304-Apr-2314-Apr-230.3626.6714
31-Dec-2203-Jan-2304-Jan-2318-Jan-230.2725.6363
30-Sep-2203-Oct-2204-Oct-2213-Oct-220.1825.7380
30-Jun-2201-Jul-2204-Jul-2221-Jul-220.1026.0429
31-Mar-2201-Apr-2204-Apr-2226-Apr-220.1127.6512
31-Dec-2104-Jan-2205-Jan-2224-Jan-220.1129.5430
30-Sep-2101-Oct-2104-Oct-2122-Oct-210.010274530.0407
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