Ex-distribution unit prices for the period ending 30 June 2025 for Managed Investment Schemes
Unit prices after 30 June 2026 will be published once we complete our end-of-financial-year distribution calculations with our Fund Administrator. We expect updated unit prices to be available from 20 July 2026. Thank you for your patience and understanding.
Latest unit price
| Date | Application | Redemption | |
|---|---|---|---|
| Enhanced Yield Fund | $1.1613 | $1.1589 |
Price history
Select any filter and click on Get Prices to see results