The Centec Securities is an ideal addition to your investment portfolio.
It is designed to act as both a core at-call hub account for your share trading with Centec Securities as well as an at-call investment account which offers a competitive interest rate.
With a combination of functionality and flexibility Centec Securities’s Financial Trust allows you to efficiently manage your flow of at-call funds with a direct link to your equities and/or derivative trading accounts ensuring seamless settlement.
At-Call
3.05% p.a. *
Last updated: 7 June 2023
KEY FEATURES
At-call convenience
Ready access to funds so you can take advantage of opportunities as they arise.
Regular interest payments at competitive rates
Interest is accrued daily and paid monthly based on competitive at-call rates.
No minimum at-call balance
With no minimum balance requirements, you can focus on making the optimal trading decisions, while still earning competitive interest between transactions.
Electronic funds transfer
Fast, efficient automatic settlement of your trades. You can also electronically credit your funds through BPAY® or direct credit (e.g. salary or dividends) – assisting with your cash flow management.
Monitor your balance online
Online capability which allows you to monitor your balances, and access historical transactions.
Integrate with other Centec Securities accounts
Your account can be linked to your Centec Securities margin loan, shares trading account, options trading account or futures trading account.
Key Documents
Centec Securities Product Disclosure Statement (PDS) and Application Form
Centec Securities Target Market Determination (TMD)
The Centec Securities TMD is available free of charge by contacting Centec Securities Capital Ltd on +61 73 0670622 or by clicking on this link. Previous versions of the TMD are available by calling +61 73 0670622.
Centec Securities Unitholder Meeting Documents and Reports
Following recent amendments to the Corporations Act; where you have provided us with your email address, we will now send notices of meetings, other meeting-related documents to you electronically. You can also elect to receive a copy of the annual financial reports (each a “Communication”) electronically when you notify us of this election.
You have the right to elect whether to receive some or all of these Communications in electronic form and the right to elect not to receive annual financial reports at all. You also have the right to elect to receive a single specified Communication on an ad hoc basis, in an electronic form.
Continuous Disclosure Statements
Under its Continuous Disclosure Policy Centec Securities Capital makes available the following documents:
Centec Securities
- Centec Securities Capital Annual Report 2023
- Centec Securities Benchmark Disclosures – 30 June 2023
- Centec Securities Benchmark Disclosures – 30 June 2022
- Centec Securities Capital Annual Report 2022
- Centec Securities Annual Report June 2022
- Centec Securities Capital Annual Report 2021
- Centec Securities Annual Report June 2021
- Centec Securities Benchmark Disclosures – 30 June 2021
- Centec Securities Benchmark Disclosure
- Centec Securities Capital Annual Report 2020
- Centec Securities Annual Accounts as at 30 June 2020
- Benchmark Disclosure
- Centec Securities Capital Annual Report 2019
- Centec Securities Cash Trust Annual Accounts as at 30 June 2019
- Notice of new external complaints resolution scheme – AFCA
- Centec Securities Capital Annual Report 2018
- Centec Securities Cash Trust Annual Accounts as at 30 June 2018
- Notice to Members of The Centec Securities Cash Trust: Change of Scheme Compliance Plan Auditor
- Centec Securities Cash Trust Annual Accounts as at 30 June 2017
- Centec Securities Cash Trust Annual Accounts as at 30 June 2016
Centec Securities Cash Account
- Trustee Report qtr ended 30/09/2018
- Trustee Report qtr ended 30/06/2018
- Closure of Centec Securities Cash Account
- Trustee Report qtr ended 31/03/2018
- Centec Securities Capital Annual Report 2017
- Trustee Report qtr ended 31/12/2017
- Trustee Report qtr ended 30/09/2017
- Trustee Report qtr ended 30/06/2017
- Trustee Report qtr ended 31/03/2017
- Centec Securities Capital Annual Report 2016
- Trustee Report qtr ended 31/12/2016
- Schedule of Promises as at 30/09/2016
- Trustee Report qtr ended 30/09/2016
- Centec Securities Capital half yearly report as at 30 June 2016
- Trustee Report qtr ended 30/06/2016
- Trustee Report qtr ended 31/03/2016
- Centec Securities Capital Annual Report 2015
- Trustee Report qtr ended 31/12/2015
- Trustee Report qtr ended 30/09/2015
- Centec Securities Capital half yearly Report as at 30 June 2015
- Trustee Report qtr ended 30/06/2015
- Trustee Report qtr ended 31/03/2015
- Centec Securities Capital Annual Report 2014
- Trustee Report qtr ended 31/12/14
- Trustee Report qtr ended 30/09/14
- Centec Securities Capital half yearly Report as at 30 June 2014
- Trustee Report qtr 30/06/14
- Trustee Report qtr ended 31/03/14
- Centec Securities Capital Annual Report 2013
- Trustee Report qtr ended 31/12/13
- Trustee Report qtr ended 30/9/13
*Interest rates are subject to change. Current interest rates are not a reliable indicator of future interest rates. The Centec Securities (ARSN 164 391 119) is a managed investment scheme that is registered with ASIC. The Trust Company (RE Services) Limited ABN 45 003 278 831 AFSL No. 235150 is the responsible entity of the Trust. The Trust is administered by Centec Securities Capital Limited ABN 54 085 797 735 AFSL No. 360457.The Trust Company (RE Services) Limited is a wholly owned subsidiary of Perpetual Limited (ABN 86 000 431 837). Centec Securities is secured over the assets of Centec Securities Capital. Guarantee details and associated risks are disclosed in our PDS. The information provided in this document is general information only and does not constitute investment or other advice. The content of this document does not constitute an offer or solicitation to subscribe for units in the Fund. Any investment decision in connection with the Trust should only be made based on the information contained in the disclosure document for the Fund. Neither Centec Securities Capital nor Perpetual guarantee repayment of any particular rate of return from the Fund. Perpetual do not give any representation or warranty as to the reliability or accuracy of the information contained in this document. All opinions and estimates included in this document constitute judgments of Centec Securities Capital as at the date of this document and are subject to change without notice.