Unit prices

The table offers daily pricing for the majority of our funds, as well as providing the ability to calculate the value of your holdings.

  • To download the table in a CSV format, simply click on the Microsoft Excel icon and select Open.
  • To calculate the value of the units you hold, enter the number of units next to the product name.
  • To retrieve historical information, select a date from the calendar icon and press the go button.

Should you have any queries relating to the unit prices, please email us.

Export to Excel   Export table to Microsoft Excel   Get historical data Calendar 
APIR Code Product Buy Sell Effective Date No. of units Value of Holding
AMP0441AU Balanced Growth Fund Class A .98447 .98034 13 Oct 2008
AMP0851AU China Fund * 1.24522 30 Sep 2008
AMP1009AU China Fund 2* .91300 30 Sep 2008
AMP0443AU Conservative Fund Class A .89564 .89439 13 Oct 2008
AMP1179AU Core Infrastructure Fund - Class A .88209 .87945 13 Oct 2008
AMP1180AU Core Infrastructure Fund - Private Clients .87560 .87298 13 Oct 2008
AMP1074AU Core Property Fund - Private Clients .84234 .83948 13 Oct 2008
AMP1015AU Core Property Fund Class A .92095 .91782 13 Oct 2008
AMP0257AU Enhanced Index Share Fund Class A 1.41513 1.40807 13 Oct 2008
AMP1072AU Enhanced Yield Fund - Private Clients .93462 .93462 13 Oct 2008
AMP0685AU Enhanced Yield Fund Class A 1.00040 1.00040 13 Oct 2008
AMP0370AU Equity Fund Class A .88360 .87919 13 Oct 2008
AMP0973AU Future Directions Australian Small Companies Fund Class A .61423 .61117 13 Oct 2008
AMP0824AU Future Directions Core International Share Fund Class A .89436 .88724 13 Oct 2008
n/a Future Directions Geared Australian Share Fund .64187 .63548 13 Oct 2008
AMP0678AU Future Directions Moderately Conservative Fund .92111 .91835 13 Oct 2008
AMP1012AU Future Directions Property Fund Class A .67126 .66805 20 Aug 2008
AMP1073AU Global Property Securities Fund - Private Clients .49359 .49015 13 Oct 2008
AMP0974AU Global Property Securities Fund Class A .56401 .56008 13 Oct 2008
AMP0365AU Global Technology Fund Class A .25496 .25293 13 Oct 2008
AMP0254AU International Bond Fund Class A .52303 .52303 13 Oct 2008
AMP0253AU International Share Fund Class A .65894 .65369 13 Oct 2008
AMP0255AU Listed Property Trusts Fund Class A .86281 .85851 13 Oct 2008
AMP0452AU Responsible Investment Leaders Balanced Fund Class A .87585 .87200 13 Oct 2008
AMP0455AU Responsible Investment Leaders Intl Share Fund Class A .65389 .64868 13 Oct 2008
AMP1077AU Small Companies Fund - Private Clients .64812 .64488 13 Oct 2008
AMP0446AU Small Companies Fund Class A 1.29684 1.29037 13 Oct 2008
AMP1014AU Structured High Yield Fund Class A .97531 .97531 13 Oct 2008
AMP1100AU Sustainable Share Fund - Private Clients .63698 .63380 13 Oct 2008
AMP0449AU Sustainable Share Fund Class A 1.30356 1.29706 13 Oct 2008
AMP0975AU Total Return Fund - Class A .89726 .89546 13 Oct 2008
AMP1070AU Value Plus Australian Share Fund Class A .54497 .54225 13 Oct 2008
AMP0258AU Wholesale Australian Share Fund Class A .84674 .84251 13 Oct 2008

* The value of the holding does not take into account any withdrawal fee that may be applicable.


Unit pricing discretions policy (PDF - 470Kb)- where we may exercise certain discretions in determining the unit price of units on application or withdrawal in each investment option. View and download our Unit Pricing Discretions Policy for the types of discretions that we may exercise, in what circumstances, our policies on how we exercise the discretions and the reasons why we consider our policies are reasonable.


Important: The unit prices displayed in this section are indicative only.

Unit prices are provided for your information only and are not guaranteed. They are based on historical data and you should not rely on the above information as the basis for making any investment, financial or other decision as past unit prices are not a reliable indicator of future unit prices. During the time it takes to process an application or redemption application, the unit price may vary and the actual unit prices applying to applications and redemptions may differ from those displayed in this section. Actual unit prices can be confirmed on receipt by AMP Capital Investors of a completed application or redemption form.

Neither AMP Capital Investors nor any company within the AMP Group makes any representation or warranty as to the reliability, completeness or accuracy of the unit price information or accepts any responsibility arising in any way (including by reason of negligence) for errors in or omissions from the unit price information.

The information in this section is not an offer or recommendation of securities or other financial products offered by the AMP Group and is not an invitation to take up securities or other financial products. Investors should consider the relevant PDS available from AMP Capital Investors (ABN 59 001 777 591) (AFSL 232 497) for the relevant fund before making any decision regarding the product.

If unit prices are not available for today then the latest available prices will be displayed. Unit prices are not calculated on weekends or public holidays.

© Copyright AMP Capital Investors Limited 2008