Fidante Partners - Unit prices
Unit prices


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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Investment Managers
Alphinity Investment Management 
Ardea Investment Management 
Ares Australia Management 
Avenir Capital 
Bentham Asset Management 
CIP Asset Management 
Credit Suisse 
Eiger Capital 
Greencape Capital 
Impax Asset Management 
Kapstream Capital 
Lennox Capital Partners 
Merlon Capital Partners 
NovaPort Capital 
Ox Capital Management 
PATRIZIA 
SG Hiscock and Company 
WaveStone Capital 
Alphinity Investment ManagementAPIRDateEntry priceExit price 
Alphinity Australian Share Fund - Class B (Closed)HOW0122AU13/10/2022 $3.4268 $3.4132 History
Alphinity Australian Share FundPAM0001AU13/10/2022 $3.4888 $3.4748 History
Alphinity Concentrated Australian Share Fund - Class B (Closed)EQI0001AU13/10/2022 $2.5807 $2.5703 History
Alphinity Concentrated Australian Share FundHOW0026AU13/10/2022 $1.4820 $1.4760 History
Alphinity Sustainable Share Fund - Class B (Closed)GLO0015AU13/10/2022 $1.7283 $1.7215 History
Alphinity Sustainable Share FundHOW0121AU13/10/2022 $1.9421 $1.9343 History
Alphinity Australian Equity FundHOW0019AU13/10/2022 $1.6555 $1.6489 History
Alphinity Global Equity FundHOW0164AU13/10/2022 $8.5560 $8.5134 History
Alphinity Global Sustainable Equity Fund - Class A-13/10/2022 $5.2567 $5.2305 History
Ardea Investment ManagementAPIRDateEntry priceExit price 
Ardea Australian Inflation Linked Bond FundHOW0062AU13/10/2022 $0.8160 $0.8140 History
Ardea Diversified Bond FundHOW8543AU13/10/2022 $0.7501 $0.7489 History
Ardea Real Outcome FundHOW0098AU13/10/2022 $0.8735 $0.8727 History
Ardea Global Alpha FundHOW0162AU13/10/2022 $0.8854 $0.8846 History
Ardea Global Alpha Plus Fund - Class I-12/10/2022 $0.0429 $0.0429 History
Ares Australia ManagementAPIRDateEntry priceExit price 
Ares Diversified Credit FundHOW7354AU12/10/2022 $0.9785 $0.9785 History
Ares Global Credit Income Fund - Class A-12/10/2022 $0.9315 $0.9241 History
Bentham Asset ManagementAPIRDateEntry priceExit price 
Bentham Global Income FundCSA0038AU12/10/2022 $0.9916 $0.9840 History
Bentham Professional Global Income FundCSA0045AU12/10/2022 $0.9495 $0.9423 History
Bentham High Yield FundCSA0102AU12/10/2022 $0.6849 $0.6799 History
Bentham Syndicated Loan FundCSA0046AU12/10/2022 $0.8562 $0.8440 History
Bentham Global Opportunity Fund I Class-12/10/2022 $0.9431 $0.9335 History
Bentham Global Opportunities Fund - Class FHOW5722AU12/10/2022 $0.9680 $0.9582 History
Bentham Professional Syndicated Loan FundCSA0048AU12/10/2022 $0.8025 $0.7911 History
Bentham Syndicated Loan Fund NZD-12/10/2022 $0.7765 $0.7653 History
Bentham Global Income Fund NZD-12/10/2022 $0.9193 $0.9123 History
Bentham Asset Backed Securties - Class IHOW2852AU12/10/2022 $0.9585 $0.9541 History
CIP Asset ManagementAPIRDateEntry priceExit price 
CIPAM Credit Income Fund - Class AHOW8013AU01/12/2022 $1.0194 $1.0158 History
Credit SuisseAPIRDateEntry priceExit price 
Credit Suisse Enhanced Commodity FundCSA0063AU09/09/2014 N/A N/A History
Credit Suisse Global Private Equity FundCSA0042AU31/08/2022 $0.0273 1 $0.0268 1 History
Eiger CapitalAPIRDateEntry priceExit price 
Eiger Australian Small Companies Fund - Class A-13/10/2022 $1.3603 $1.3495 History
Greencape CapitalAPIRDateEntry priceExit price 
Greencape Broadcap FundHOW0034AU13/10/2022 $1.4638 $1.4580 History
Greencape Broadcap Fund - Class I-13/10/2022 $1.2695 $1.2645 History
Greencape High Conviction FundHOW0035AU13/10/2022 $1.3519 $1.3465 History
Greencape Broadcap Fund - Class PHOW0158AU13/10/2022 $1.0275 $1.0233 History
Impax Asset ManagementAPIRDateEntry priceExit price 
Impax Sustainable Leaders Fund - Class AETL8171AU06/01/2023 $1.5073 $1.4982 History
Kapstream CapitalAPIRDateEntry priceExit price 
Kapstream Absolute Return Income FundHOW0052AU13/10/2022 $1.1293 $1.1285 History
Lennox Capital PartnersAPIRDateEntry priceExit price 
Lennox Australian Small Companies FundHOW3590AU13/10/2022 $1.2384 $1.2288 History
Lennox Australian Microcap FundHOW1289AU13/10/2022 $0.9788 $0.9690 History
Merlon Capital PartnersAPIRDateEntry priceExit price 
MCP Australian Share Income Fund (Closed)EQI0004AU13/10/2022 $0.4648 $0.4630 History
Merlon Australian Share Income FundHBC0011AU13/10/2022 $1.1028 $1.0984 History
Merlon Australian Share Core Income Fund - Class I-13/10/2022 $0.9574 $0.9536 History
Merlon Australian Equity Income Fund (Closed)WAR0002AU13/10/2022 $1.1370 $1.1324 History
Merlon Concentrated Australian Share Fund-13/10/2022 $1.0333 $1.0291 History
Merlon Concentrated Australian Share Fund - Class I-13/10/2022 $1.0627 $1.0585 History
NovaPort CapitalAPIRDateEntry priceExit price 
NovaPort Microcap FundHOW0027AU13/10/2022 $1.9629 $1.9511 History
NovaPort Smaller Companies Fund - Class B (Closed)HOW0017AU13/10/2022 $1.9874 $1.9756 History
NovaPort Smaller Companies FundHOW0016AU13/10/2022 $2.2977 $2.2839 History
NovaPort Smaller Companies Fund - Class IHOW0018AU13/10/2022 $2.0752 $2.0628 History
Ox Capital ManagementAPIRDateEntry priceExit price 
Ox Capital Dynamic Emerging Markets Fund - Class AHOW6479AU13/10/2022 $4.1308 $4.1102 History
Ox Capital Emerging Markets Fund - Class AHOW2044AU13/10/2022 $3.9516 $3.9318 History
PATRIZIAAPIRDateEntry priceExit price 
Patrizia Low Carbon Core Infrastructure Fund - UnhedgedHOW7305AU13/10/2022 $0.9395 $0.9357 History
SG Hiscock and CompanyAPIRDateEntry priceExit price 
SG Hiscock Property Opportunities Fund (Closed)WAR0005AU13/10/2022 $0.6030 $0.6006 History
SG Hiscock Property Opportunities FundHBC0008AU13/10/2022 $0.6420 $0.6388 History
SG Hiscock Property FundCRS0007AU13/10/2022 $0.7052 $0.7016 History
SG Hiscock Professional Property FundCSA0115AU13/10/2022 $0.6380 $0.6348 History
WaveStone CapitalAPIRDateEntry priceExit price 
WaveStone Dynamic Australian Equity FundHOW0053AU13/10/2022 $1.5738 $1.5676 History
WaveStone Australian Share FundHOW0020AU13/10/2022 $2.4261 $2.4165 History
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For information on Endowment Warrants please contact Westpac Structured Equity Investments on 1800 990 107.
1 Monthly unit prices are released effective the end of each month.
2 Applications and redemptions are processed on the first Business Day of the month.

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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