Page 27 - Renshaw, M&T - review report - Febr21
P. 27

0068231D201
                                                                 0068231D201
 Review report - Mr Matthew Douglas
 Review report - Mr Matthew Douglas                      Summit Personal Super
                                                         Summit Personal Super
 Renshaw                                              Matthew Douglas Renshaw
                                                      Matthew Douglas Renshaw
 Renshaw
                                              1 January 2020 to 31 December 2020
                                              1 January 2020 to 31 December 2020
 0.00
 5,269.79
 1,934.00
      31/12/2020
                                                    7,542.60
                                                                         212.74
                                        0.00
                         3.90
 Tabcorp Holdings Limited Ordinary  5,269.79  1,934.00  0.00  31/12/2020  3.90  0.00  7,542.60  212.74
 Tabcorp Holdings Limited Ordinary
 Fully Paid
 Fully Paid
 4,000.00
 0.00
 15,973.85
      31/12/2020
                                                                         640.00
                                        0.00
                         2.98
                                                   11,920.00
 Telstra Corporation Limited. Ordinary
 Telstra Corporation Limited. Ordinary  15,973.85  4,000.00  0.00  31/12/2020  2.98  0.00  11,920.00  640.00
 Fully Paid
 Fully Paid
 1,016.00
 5,682.66
 0.00
                                                   13,878.56
                                        0.00
      31/12/2020
                        13.66
                                                                         477.52
 Transurban Group Fully Paid Ordinary/
 Transurban Group Fully Paid Ordinary/  5,682.66  1,016.00  0.00  31/12/2020  13.66  0.00  13,878.56  477.52
 Units Stapled Securities
 Units Stapled Securities
 25,560.00
 0.00
 26,700.10
                         0.93
      31/12/2020
                                                   24,734.97
 UBS Income Solution Fund
                                                                         728.41
 UBS Income Solution Fund  25,560.00  26,700.10  0.00  31/12/2020  0.93  0.00  24,734.97  728.41
                                        0.00
 0.00
 2,682.49
 180.00
                                                                          63.15
      31/12/2020
                                                     918.00
                                        0.00
                         5.10
 Unibail-Rodamco-Westfield Cdi 20:1  2,682.49  180.00  0.00  31/12/2020  5.10  0.00  918.00  63.15
 Unibail-Rodamco-Westfield Cdi 20:1
 Foreign Exempt Xpar
 Foreign Exempt Xpar
 38,030.06
 25,560.00
 0.00
                                                                        1,890.81
      31/12/2020
                         0.97
                                                   36,797.89
                                        0.00
 Vanguard Australian Property  25,560.00  38,030.06  0.00  31/12/2020  0.97  0.00  36,797.89  1,890.81
 Vanguard Australian Property
 Securities Index Fund (W)
 Securities Index Fund (W)
 12,780.00
 23,035.33
 0.00
                                        0.00
                                                   22,365.00
                         0.97
                                                                        1,240.05
      31/12/2020
 Vanguard International Shares Index  12,780.00  23,035.33  0.00  31/12/2020  0.97  0.00  22,365.00  1,240.05
 Vanguard International Shares Index
 Fund (Hedged)
 Fund (Hedged)
 150.00
 0.00
 3,670.42
      31/12/2020
                                                                         255.00
                                        0.00
                                                    7,560.00
                        50.40
 Wesfarmers Limited Ordinary Fully
 Wesfarmers Limited Ordinary Fully  3,670.42  150.00  0.00  31/12/2020  50.40  0.00  7,560.00  255.00
 Paid
 Paid
 219.00
 5,527.46
 0.00
      31/12/2020
                                        0.00
                        19.37
                                                    4,242.03
                                                                          67.89
 Westpac Banking Corporation Ordinary
 Westpac Banking Corporation Ordinary  5,527.46  219.00  0.00  31/12/2020  19.37  0.00  4,242.03  67.89
 Fully Paid
 Fully Paid
 12,780.00
 0.00
 12,060.02
                                        0.00
                                                   15,266.78
                                                                         366.86
      31/12/2020
                         1.27
 Zurich Investments Global Thematic  12,780.00  12,060.02  0.00  31/12/2020  1.27  0.00  15,266.78  366.86
 Zurich Investments Global Thematic
 Share Fund
 Share Fund
 125,000.00
 AMP Term Deposit 3 Months 0.55% 22
 AMP Term Deposit 3 Months 0.55% 22  125,000.00  0.00  31/12/2020  1.00  0.00  125,000.00  0.00
                                                  125,000.00
 0.00
                                                                           0.00
                                        0.00
                         1.00
      31/12/2020
 Feb 2021
 Feb 2021
                                                                       10,423.73
                                                  415,679.44
                                        0.00
                                        0.00      415,679.44           10,423.73
                                                  415,679.44
              Account value                       415,679.44
              Account value
 Unit Pricing
 Unit Pricing
 Unit Pricing
 Unit PricingUnit PricingUnit PricingUnit Pricing
 Unit Pricing
 The unit prices shown above are calculated as at the end of the reporting period by third party providers. While all due care has been taken in the consolidation and dissemination of this data, AMP accepts no responsibility
 The unit prices shown above are calculated as at the en
 d of the reporting period by third party providers. Whi
 le all due care has been taken in the consolidation and
                                                                            ity
                                      dissemination of this data, AMP accepts no responsibil
 and no warranty is provided for any errors or omissions. .
 and no warranty is provided for any errors or omissions
 Income generated from your holdings (excluding managed
 Income generated from your holdings (excluding managed
 Income generated from your holdings (excluding managed  portfolios)
 portfolios)
 portfolios)
 Income generated from your holdings (excluding managed
 Income generated from your holdings (excluding managed
 Income generated from your holdings (excluding managed
 portfolios)
 Income generated from your holdings (excluding managed portfolios)portfolios)portfolios)portfolios)
 Income generated from your holdings (excluding managed
 in the value of the relevant shareholding or managed fu
  your cash account and therefore will not be reflected
 Income generated from your investments may be paid into your cash account and therefore will not be reflected in the value of the relevant shareholding or managed fund.  Where the option has been made available to
 Income generated from your investments may be paid into
                                       nd.  Where the option has been made available to
 you, and you have elected to reinvest the income (either distributions or dividends), these amounts will be reflected in the value of the relevant shareholding or managed fund.
                                    naged fund.
 you, and you have elected to reinvest the income (eithe
 r distributions or dividends), these amounts will be re
 flected in the value of the relevant shareholding or ma
                                                                   Page 6 of  9
 Date prepared: 04/02/2021
 Date prepared: 04/02/2021                                         Page 6 of  9
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