Unit Prices

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
Date Application Redemption
Enhanced Yield Fund - Class B $1.1947 $1.1923

Price history

From

Select any filter and click on Get Prices to see results