RE:RE:Adjusted Cost BaseNot sure WHY you would worry about that statistic. THE UNIT NAV is posted every week, tells you what the value in the fund is....Last week , NOVEMBER 26th the UNIT NAV value was 20.88
I dont see that number changing much this past week.
At 10.50 SBC is trading right around its NAV after distributions.
bcsc wrote: Sapho wrote: This is the first year that I am holding SBC. Question for those who have held it for long time.
When ACB will be reduced. Will it be in early Jan?
In reality the ACB is reduced every time a distribution is announced and paid, but I believe that is not what your asking. I have always adjusted my cost base when I receive the tax information late Feb or early Mar. Some of the more diligent posters may know when Brompton usually makes this information available on their website.