Listed below are the current unit prices for the range of Fidante products. All exit prices are pre-income unless otherwise stated.
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Or specify date (dd/mm/yyyy):
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| Alphinity Australian Share Fund - Class B (Closed) | HOW0122AU | 13/10/2022 |
$3.4268
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$3.4132
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History
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| Alphinity Australian Share Fund | PAM0001AU | 13/10/2022 |
$3.4888
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$3.4748
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History
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| Alphinity Concentrated Australian Share Fund - Class B (Closed) | EQI0001AU | 13/10/2022 |
$2.5807
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$2.5703
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History
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| Alphinity Concentrated Australian Share Fund | HOW0026AU | 13/10/2022 |
$1.4820
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$1.4760
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History
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| Alphinity Sustainable Share Fund - Class B (Closed) | GLO0015AU | 13/10/2022 |
$1.7283
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$1.7215
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History
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| Alphinity Sustainable Share Fund | HOW0121AU | 13/10/2022 |
$1.9421
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$1.9343
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History
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| Alphinity Australian Equity Fund | HOW0019AU | 13/10/2022 |
$1.6555
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$1.6489
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History
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| Alphinity Global Equity Fund | HOW0164AU | 13/10/2022 |
$8.5560
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$8.5134
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History
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| Alphinity Global Sustainable Equity Fund - Class A | - | 13/10/2022 |
$5.2567
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$5.2305
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History
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| Ardea Australian Inflation Linked Bond Fund | HOW0062AU | 13/10/2022 |
$0.8160
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$0.8140
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History
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| Ardea Diversified Bond Fund | HOW8543AU | 13/10/2022 |
$0.7501
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$0.7489
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History
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| Ardea Real Outcome Fund | HOW0098AU | 13/10/2022 |
$0.8735
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$0.8727
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History
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| Ardea Global Alpha Fund | HOW0162AU | 13/10/2022 |
$0.8854
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$0.8846
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History
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| Ardea Global Alpha Plus Fund - Class I | - | 12/10/2022 |
$0.0429
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$0.0429
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History
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| Ares Diversified Credit Fund | HOW7354AU | 12/10/2022 |
$0.9785
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$0.9785
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History
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| Ares Global Credit Income Fund - Class A | - | 12/10/2022 |
$0.9315
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$0.9241
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History
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| Bentham Global Income Fund | CSA0038AU | 12/10/2022 |
$0.9916
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$0.9840
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History
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| Bentham Professional Global Income Fund | CSA0045AU | 12/10/2022 |
$0.9495
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$0.9423
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History
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| Bentham High Yield Fund | CSA0102AU | 12/10/2022 |
$0.6849
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$0.6799
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History
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| Bentham Syndicated Loan Fund | CSA0046AU | 12/10/2022 |
$0.8562
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$0.8440
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History
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| Bentham Global Opportunity Fund I Class | - | 12/10/2022 |
$0.9431
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$0.9335
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History
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| Bentham Global Opportunities Fund - Class F | HOW5722AU | 12/10/2022 |
$0.9680
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$0.9582
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History
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| Bentham Professional Syndicated Loan Fund | CSA0048AU | 12/10/2022 |
$0.8025
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$0.7911
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History
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| Bentham Syndicated Loan Fund NZD | - | 12/10/2022 |
$0.7765
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$0.7653
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History
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| Bentham Global Income Fund NZD | - | 12/10/2022 |
$0.9193
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$0.9123
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History
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| Bentham Asset Backed Securties - Class I | HOW2852AU | 12/10/2022 |
$0.9585
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$0.9541
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History
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| CIPAM Credit Income Fund - Class A | HOW8013AU | 01/12/2022 |
$1.0194
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$1.0158
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History
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| Credit Suisse Enhanced Commodity Fund | CSA0063AU | 09/09/2014 |
N/A
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N/A
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History
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| Credit Suisse Global Private Equity Fund | CSA0042AU | 31/08/2022 |
$0.0273
1
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$0.0268
1
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History
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| Eiger Australian Small Companies Fund - Class A | - | 13/10/2022 |
$1.3603
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$1.3495
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History
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| Greencape Broadcap Fund | HOW0034AU | 13/10/2022 |
$1.4638
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$1.4580
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History
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| Greencape Broadcap Fund - Class I | - | 13/10/2022 |
$1.2695
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$1.2645
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History
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| Greencape High Conviction Fund | HOW0035AU | 13/10/2022 |
$1.3519
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$1.3465
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History
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| Greencape Broadcap Fund - Class P | HOW0158AU | 13/10/2022 |
$1.0275
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$1.0233
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History
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| Impax Sustainable Leaders Fund - Class A | ETL8171AU | 06/01/2023 |
$1.5073
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$1.4982
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History
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| Kapstream Absolute Return Income Fund | HOW0052AU | 13/10/2022 |
$1.1293
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$1.1285
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History
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| Lennox Australian Small Companies Fund | HOW3590AU | 13/10/2022 |
$1.2384
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$1.2288
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History
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| Lennox Australian Microcap Fund | HOW1289AU | 13/10/2022 |
$0.9788
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$0.9690
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History
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| MCP Australian Share Income Fund (Closed) | EQI0004AU | 13/10/2022 |
$0.4648
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$0.4630
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History
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| Merlon Australian Share Income Fund | HBC0011AU | 13/10/2022 |
$1.1028
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$1.0984
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History
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| Merlon Australian Share Core Income Fund - Class I | - | 13/10/2022 |
$0.9574
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$0.9536
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History
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| Merlon Australian Equity Income Fund (Closed) | WAR0002AU | 13/10/2022 |
$1.1370
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$1.1324
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History
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| Merlon Concentrated Australian Share Fund | - | 13/10/2022 |
$1.0333
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$1.0291
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History
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| Merlon Concentrated Australian Share Fund - Class I | - | 13/10/2022 |
$1.0627
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$1.0585
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History
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| NovaPort Microcap Fund | HOW0027AU | 13/10/2022 |
$1.9629
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$1.9511
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History
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| NovaPort Smaller Companies Fund - Class B (Closed) | HOW0017AU | 13/10/2022 |
$1.9874
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$1.9756
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History
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| NovaPort Smaller Companies Fund | HOW0016AU | 13/10/2022 |
$2.2977
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$2.2839
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History
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| NovaPort Smaller Companies Fund - Class I | HOW0018AU | 13/10/2022 |
$2.0752
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$2.0628
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History
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| Ox Capital Dynamic Emerging Markets Fund - Class A | HOW6479AU | 13/10/2022 |
$4.1308
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$4.1102
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History
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| Ox Capital Emerging Markets Fund - Class A | HOW2044AU | 13/10/2022 |
$3.9516
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$3.9318
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History
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| Patrizia Low Carbon Core Infrastructure Fund - Unhedged | HOW7305AU | 13/10/2022 |
$0.9395
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$0.9357
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History
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| SG Hiscock Property Opportunities Fund (Closed) | WAR0005AU | 13/10/2022 |
$0.6030
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$0.6006
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History
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| SG Hiscock Property Opportunities Fund | HBC0008AU | 13/10/2022 |
$0.6420
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$0.6388
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History
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| SG Hiscock Property Fund | CRS0007AU | 13/10/2022 |
$0.7052
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$0.7016
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History
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| SG Hiscock Professional Property Fund | CSA0115AU | 13/10/2022 |
$0.6380
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$0.6348
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History
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| WaveStone Dynamic Australian Equity Fund | HOW0053AU | 13/10/2022 |
$1.5738
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$1.5676
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History
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| WaveStone Australian Share Fund | HOW0020AU | 13/10/2022 |
$2.4261
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$2.4165
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History
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For information on Endowment Warrants please contact Westpac Structured Equity Investments on 1800 990 107.
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Monthly unit prices are released effective the end of each month. |
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Applications and redemptions are processed on the first Business Day of the month. |
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Pre-income unit price: The unit price before income has been distributed (therefore the unit price includes both changes in capital and any income accumulated)
Post-income unit price: The unit price after income has been distributed (therefore the unit price does not include any income accumulated)
Disclaimer - These entry and exit prices are current as at the time of this communication, but are not the guaranteed prices you will receive should you apply for or redeem any units on or after the time of this communication, because the actual price may be calculated by reference to a different date. The above details are provided for information purposes only. They are not an offer or recommendation to you to buy or sell securities or other investment products, nor a solicitation for deposits or other business, whether directly or indirectly, in any state, foreign country or in any other jurisdiction (other than Australia) where such offering or solicitation may not be lawfully made. Where applicable, the entry and exit prices shown above do not take into account any application fees or exit fees that may be payable upon entry to or exit from the fund.
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