MCGG.ASX
NAVs
Distributions
MCGG.ASX Distribution
Period To | Distribution CPU1 |
Reinvestment price ($) |
Valuation price on ex-date ($) | Distribution components |
IMD02P001: ex-date unit prices |
IMD02P004: CPU & ex-date unit prices |
---|---|---|---|---|---|---|
30-06-2025 | 253.2673 | 14.4252 | 14.4252 |
![]() |
![]() |
![]() |
30-06-2024 | 65.4511 | 13.2539 | 13.2539 |
![]() |
![]() |
![]() |
30-06-2023 | 10.2342 | 10.0211 | 10.0211 |
![]() |
![]() |
![]() |
30-06-2022 | 18.9500 | 8.2948 | 8.2948 |
![]() |
![]() |
![]() |
Performance
MCGG.ASX Performance
As at 31 August 2025 |
Month % | 3 Months % | 1 Year % | 3 Years % p.a. |
5 Years % p.a. |
7 Years % p.a. |
10 Years % p.a. |
Since Inception1 % p.a. |
---|---|---|---|---|---|---|---|---|
Fund2 | (1.84) | 8.28 | 33.84 | 29.07 | N/A | N/A | N/A | 19.40 |
Benchmark3 | 0.92 | 6.62 | 20.06 | 20.50 | N/A | N/A | N/A | 13.72 |
Over / (Under) | (2.76) | 1.66 | 13.78 | 8.57 | N/A | N/A | N/A | 5.68 |
MCGG.ASX Performance Components
As at 31 August 2025 |
Month % | 3 Months % | 1 Year % | 3 Years % p.a. |
5 Years % p.a. |
7 Years % p.a. |
10 Years % p.a. |
Since Inception1 % p.a. |
---|---|---|---|---|---|---|---|---|
Distribution4 | 0.00 | 16.17 | 19.99 | 9.13 | N/A | N/A | N/A | 7.84 |
Growth | (1.84) | (7.89) | 13.85 | 19.94 | N/A | N/A | N/A | 11.56 |
Total | (1.84) | 8.28 | 33.84 | 29.07 | N/A | N/A | N/A | 19.40 |
1 3 February 2022
2 Fund returns are calculated net of management fees and assuming all distributions are reinvested
3 MSCI World (ex Australia) Total Return Net Index in AUD
4 Distribution may include income, realised capital gains, and any return of capital
Forms
Change of Details Form |
||||
![]() |
Reports
Disclosures
Please click here to check whether there has been a recent disclosure notice issued for your Fund.