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Plus500
Plus500
ANNOUNCEMENT SPONSORED BY PLUS500
ANNOUNCEMENT SPONSORED BY PLUS500
CFD TRADING PLATFORM
CFD Service. Your Capital is at risk
CFD TRADING PLATFORM CFD Service. Your Capital is at risk
Plus500
ANNOUNCEMENT SPONSORED BY PLUS500
CFD TRADING PLATFORM CFD Service. Your Capital is at risk

CET US Annual Report - 31 December 201806/03/19
CET Number of Issued Units as at 28 February 201901/03/19
CET Number of Issued Units as at 31 January 201901/02/19
CET DIVIDENDS FOREIGN EXCHANGE RATE - US FUNDS11/01/19
CET FEE REDUCTIONPRICE SENSITIVE11/01/19
CET Issued Units as at Month End 31 December 201802/01/19
CET DividendsPRICE SENSITIVE20/12/18
CET Number of Issued Units as at 30-Nov-201805/12/18
CET Dividend Dates and TimetablePRICE SENSITIVE16/11/18
CET Number of Issued Units as at 31 October 201805/11/18
CET Number of Issued Units as at 30 September 201803/10/18
CET Number of Issued Units as at 31 August 201805/09/18
CET US Semi-Annual Report29/08/18
CET Number Issued Units as at 31 July 201803/08/18
CET Number of Issued Units as at 30 June 201804/07/18
CET Number of Issued Units05/06/18
CET Number of Issued Units02/05/18
CET Number of Issued Units04/04/18
CET US Annual Report19/03/18
CET Number of Issued Units02/03/18
CET Number of Issued Units05/02/18
CET Dividends Foreign Exchange Rate11/01/18
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CET Dividends and TimetablePRICE SENSITIVE18/12/17
CET Number of Issued Units05/12/17
CET Dividend Estimates and Timetable - US FundsPRICE SENSITIVE23/11/17
CET Number of Issued Units03/11/17
CET Number of Issued Units05/10/17
CET Replacement Product Disclosure Statement22/09/17
CET Number of Issued Units01/09/17
CET US Semi-Annual Report30/08/17
CET Number of Issued Units01/08/17
CET Monthly Issued Units Notice as at 30 June 201705/07/17
CET Units On Issue - Month Ended 31 May 201702/06/17
CET Number of Units Outstanding - 30 April 201702/05/17
CET Number of Units Outstanding - 31 March 201705/04/17
CET US Annual Report to Shareholders09/03/17
CET Number of Units Outstanding - 28 February 201706/03/17
CET Units Outstanding 31 January 201706/02/17
CET Distributions Foreign Exchange Rate12/01/17
CET Number of Units Outstanding - 30 December 201603/01/17
CET Declared DistributionsPRICE SENSITIVE19/12/16
CET Distributions Timetable16/12/16
CET Number of Units Outstanding - 30 November 201605/12/16
CET Preliminary Distribution Estimates - US ETFsPRICE SENSITIVE23/11/16
CET SEC Filing - Rebranding Notice15/03/16
CET US SEC Filing - Annual Report08/03/16
CET Number of Units Outstanding - 29 February 201601/03/16
CET Calculation of Net Asset Value08/02/16
CET Number of Units Outstanding - 29 January 201602/02/16
CET Distribution Foreign Exchange Rate - Correction21/01/16
CET Distribution Foreign Exchange Rate20/01/16
CET Number of Units Outstanding - 31 December 201507/01/16
CET Declared Distributions Announcement - US ETFsPRICE SENSITIVE21/12/15
CET Indicative Distributions Timetable16/12/15
CET Number of Units Outstanding - 30 November 201501/12/15
CET Number of Units Outstanding - 30 October 201503/11/15
CET US Semi-Annual Report01/10/15
CET Number of Units Outstanding - 30 September 201501/10/15
CET Units Outstanding - 31 August 201501/09/15
CET NUMBER OF UNITS OUTSTANDING - 31 JULY 201504/08/15
CET Outstanding Units/CDIs as at 30-Jun-1506/07/15
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CET COMMENCEMENT OF TRADING & PDS - CETF, GDX, MOAT26/06/15
CET US Annual Report - 31 December 2018
06/03/19
CET Number of Issued Units as at 28 February 2019
01/03/19
CET Number of Issued Units as at 31 January 2019
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CET DIVIDENDS FOREIGN EXCHANGE RATE - US FUNDS
11/01/19
CET FEE REDUCTION
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CET Issued Units as at Month End 31 December 2018
02/01/19
CET Dividends
20/12/18PRICE SENSITIVE
CET Number of Issued Units as at 30-Nov-2018
05/12/18
CET Dividend Dates and Timetable
16/11/18PRICE SENSITIVE
CET Number of Issued Units as at 31 October 2018
05/11/18
CET Number of Issued Units as at 30 September 2018
03/10/18
CET Number of Issued Units as at 31 August 2018
05/09/18
CET US Semi-Annual Report
29/08/18
CET Number Issued Units as at 31 July 2018
03/08/18
CET Number of Issued Units as at 30 June 2018
04/07/18
CET Number of Issued Units
05/06/18
CET Number of Issued Units
02/05/18
CET Number of Issued Units
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CET US Annual Report
19/03/18
CET Number of Issued Units
02/03/18
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CET Dividends Foreign Exchange Rate
11/01/18
CET Number of Issued Units
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CET Dividends and Timetable
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CET Dividend Estimates and Timetable - US Funds
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CET Number of Issued Units
03/11/17
CET Number of Issued Units
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CET Replacement Product Disclosure Statement
22/09/17
CET Number of Issued Units
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CET US Semi-Annual Report
30/08/17
CET Number of Issued Units
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CET Monthly Issued Units Notice as at 30 June 2017
05/07/17
CET Units On Issue - Month Ended 31 May 2017
02/06/17
CET Number of Units Outstanding - 30 April 2017
02/05/17
CET Number of Units Outstanding - 31 March 2017
05/04/17
CET US Annual Report to Shareholders
09/03/17
CET Number of Units Outstanding - 28 February 2017
06/03/17
CET Units Outstanding 31 January 2017
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CET Distributions Foreign Exchange Rate
12/01/17
CET Number of Units Outstanding - 30 December 2016
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CET Declared Distributions
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CET Distributions Timetable
16/12/16
CET Number of Units Outstanding - 30 November 2016
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CET Preliminary Distribution Estimates - US ETFs
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CET SEC Filing - Rebranding Notice
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CET US SEC Filing - Annual Report
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CET Number of Units Outstanding - 29 February 2016
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CET Calculation of Net Asset Value
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CET Number of Units Outstanding - 29 January 2016
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CET Distribution Foreign Exchange Rate - Correction
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CET Distribution Foreign Exchange Rate
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CET Number of Units Outstanding - 31 December 2015
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CET Declared Distributions Announcement - US ETFs
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CET Indicative Distributions Timetable
16/12/15
CET Number of Units Outstanding - 30 November 2015
01/12/15
CET Number of Units Outstanding - 30 October 2015
03/11/15
CET US Semi-Annual Report
01/10/15
CET Number of Units Outstanding - 30 September 2015
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CET Units Outstanding - 31 August 2015
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CET NUMBER OF UNITS OUTSTANDING - 31 JULY 2015
04/08/15
CET Outstanding Units/CDIs as at 30-Jun-15
06/07/15
CET Outstanding Units/CDIs as at 30-Jun-15
01/07/15
CET COMMENCEMENT OF TRADING & PDS - CETF, GDX, MOAT
26/06/15
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