Add assets – managed funds
When you select to enter a Managed Fund investment the following screen will be displayed:
(HIN ad SRN fields will not display for unlisted Funds).
Complete the form as per instructions.
Take extra care to ensure the Investment Code and Asset Name is correct. Many management firms operate multiple funds with very similar names.
If selecting from a drop-down list, compare the name and code with your statements to ensure you have chosen correctly.
Check that the Purchase date, Cost and Volume are correctly entered.
For an UNLISTED Fund, the Holding section changes to:
The remainder of the form is completed in the same manner, but you will need to enter Asset Name and Investment Code manually.
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