The Fund employs a market maker, Citibank, to create and redeem units as and when needed to create liquidity in the Fund for investors when buying or selling. Just like an exchange traded fund (ETF). Investors will be able to buy and sell and have their funds invested or redeemed within the ASX’s settlement time frame of transaction day plus two days. You will receive the buy/sell price of the time you made the transaction.
Investing with Us
Intelligent Investor Australian Equity Income Fund(ASX: INIF)
How liquid is this investment? How can I add more or sell down?