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CSC Buy Sell Spreads

This webpage forms part of the ADF Super and PSSap Product Disclosure Statements (PDS) dated 1 May 2026, and the CSCri Product Disclosure Statement (PDS) dated 31 October 2025 and provides buy-sell spread information. From time to time, changes to the PDS that are not materially adverse will be updated on the website here.

When we buy or sell investments as a result of our customers’ transactions, we incur costs like brokerage fees and taxes. We pass these costs onto you, for example, when you start an account or switch investments. No part of the buy–sell spread is retained by CSC.

A buy price applies when we buy units, which happens for example when you make a contribution to your Super account, or you switch into a new investment option.

A sell price applies when we sell units, which happens for example when you’re charged a fee or when you switch out of an investment option.

The difference between the buy and sell prices is called the buy–sell spread. The buy–sell spread can change from time to time.

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