Zurich Investments 30 September 2022 distribution timetable released

6 September 2022


Zurich Investments has released the timetable of expected distribution dates for the quarter end 30 September 2022.

View the Zurich Investments 30 September 2022 Distribution Timetable below.

Distribution timetable

Quarter/Year end event Date
Cut off for receipt of applications and redemption requests-to receive 30 September 2022 price Both application and monies must be received by 3pm Sydney time on 30 September 2022
Release of cum prices for 30 September 2022 4 October 2022
Release of
  • Ex-prices
  • Reinvestment prices

6 October 2022
Distribution CPUs available 6 October 2022
Distribution confirmation statement available online 7 October 2022
Distribution payments made 7 October 2022
Notice for subdivision 12H updated 11 October 2022


For more information

Please contact the Zurich Client Service Centre on 131 551 or email the Zurich Investments Administration Team at ut.admin@zurich.com.au.