2010 Financial Year End
2009 - 2010 BT Investment Management Tax Guides
BT Investment Management 2009 – 2010 Tax Statement guide
BT Investment Management 2009 – 2010 Capital Gains Tax Statement guide
BT Investment Management 2009 – 2010 Tax Statement (e-tax) guide
June 2010 quarterly distributions
The distribution payments (paid to the nominated bank account or re-invested) for funds distributing this quarter (June 2010) are expected to be processed between 2nd July 2010 and 29th July 2010.
Quarterly investment statements are expected to be mailed from the week commencing 19th July 2010. Please note that some investment statements for funds which have investments with external managers will be mailed from the week commencing 2nd August 2010.
2009 - 2010 tax statements
If the fund in which you hold an investment has paid a distribution during the financial year (1st July 2009 - 30th June 2010) we will provide you with an annual BT Investment Management (BTIM) tax statement detailing tax information required to complete your 2009-2010 Income tax return.
BTIM tax statements are expected to be mailed from the week commencing 19th July 2010. Please note that some BTIM tax statements for funds which have investments with external managers will be mailed from the week commencing 9th August 2010.
2009 - 2010 capital gains tax statements
If you have withdrawn or exited from your BTIM investment during the financial year (1st July 2009 - 30th June 2010) you may receive a BTIM capital gains tax (CGT) statement. This will provide information which may assist you in completing your 2009-2010 Income tax return.
BTIM CGT statements are expected to be mailed from the week commencing 27th July 2009. Please note that some BTIM CGT statements for funds which have investments with external managers will be mailed from the week commencing 10th August 2009.
Processing delays
For certain BTIM investment products there will be a delay in calculating and publishing entry and exit prices over the year end period. This will in turn delay the processing of applications and withdrawals. At this stage prices will be up to date by 16 July.
Please note that this delay will not effect the unit price that investors will receive for transactions they make across this period (i.e all valid transactions received before the relevant cut-off time will continue to be processed using the entry and exit prices calculated for that business day, once the prices are available).
We will update you via this website should any of the dates shown above change.
2010 Financial Year End - Distribution Estimates
- 1. File description: Distribution Estimates [85.4KB]
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File name: Distribution_Estimates_2010.pdf





Emilio Gonzalez speaks at the Morningstar Annual Investment Conference 29 April 2010



