Unit Price - History

This page provides latest unit price information for Pendal and Regnan funds.

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Pendal Monthly Income Plus Fund

APIR Code: BTA0318AU

Date Entry price Exit price
11.03.2024 $1.055000 $1.052800

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Date Entry price Exit price
11-Mar-2024 $1.055000 $1.052800
08-Mar-2024 $1.057000 $1.054800
07-Mar-2024 $1.056400 $1.054200
06-Mar-2024 $1.056000 $1.053800
05-Mar-2024 $1.055300 $1.053100
04-Mar-2024 $1.054500 $1.052300
01-Mar-2024 $1.053700 $1.051500
29-Feb-2024 $1.055900 $1.053700
28-Feb-2024 $1.054600 $1.052400
27-Feb-2024 $1.054300 $1.052100
26-Feb-2024 $1.054600 $1.052400
23-Feb-2024 $1.052000 $1.049800
22-Feb-2024 $1.050500 $1.048500
21-Feb-2024 $1.050800 $1.048800
20-Feb-2024 $1.051900 $1.049700
19-Feb-2024 $1.051200 $1.049000
16-Feb-2024 $1.049900 $1.047900
15-Feb-2024 $1.050500 $1.048500
14-Feb-2024 $1.047800 $1.045800
13-Feb-2024 $1.051800 $1.049600
12-Feb-2024 $1.052900 $1.050700
09-Feb-2024 $1.054300 $1.052100
08-Feb-2024 $1.054200 $1.052000
07-Feb-2024 $1.054200 $1.052000
06-Feb-2024 $1.053300 $1.051100
05-Feb-2024 $1.054800 $1.052600
02-Feb-2024 $1.057100 $1.054900
01-Feb-2024 $1.052200 $1.050000
31-Jan-2024 $1.055000 $1.052800
30-Jan-2024 $1.049700 $1.047700
29-Jan-2024 $1.047400 $1.045400
25-Jan-2024 $1.046300 $1.044300
24-Jan-2024 $1.046300 $1.044300
23-Jan-2024 $1.047500 $1.045500
22-Jan-2024 $1.045100 $1.043100

Please note: The Pendal Managed Cash Fund (WFS0245AU) and Pendal Stable Cash Plus Fund (BTA0459AU) are dollar stable funds and as such the CPU is not accurate. Please refer to the effective interest rate on the performance page for more information on these funds.

IMPORTANT INFORMATION:

Pendal Fund Services Limited ABN 13 161 249 332, AFSL No 431426 (Pendal) is the responsible entity and issuer of units in the funds named on this website. A product disclosure statement (PDS) or information memorandum (IM) is available for the funds and can be obtained by calling 1300 032 804 or visiting www.pendalgroup.com. You should obtain and consider the PDS or IM before deciding whether to acquire, continue to hold or dispose of units in the funds. An investment in the funds is subject to investment risk, including possible delays in repayment of withdrawal proceeds and loss of income and principal invested.

The information provided on this website is for general information purposes only, should not be considered as a comprehensive statement on any matter and should not be relied upon as such. It has been prepared without taking into account any recipient's personal objectives, financial situation or needs. Because of this, recipients should, before acting on this information, consider its appropriateness having regard to their individual objectives, financial situation and needs. This information is not to be regarded as a securities recommendation.

Performance figures are calculated in accordance with the Financial Services Council (FSC) standards. Performance data (post-fee) assumes reinvestment of distributions and is calculated using exit prices, net of management costs. Performance (pre-fee) is calculated by adding back management costs to the post-fee performance. Past performance is not a reliable indicator of future performance.

The information on this website may also contain material provided by third parties, is given in good faith and has been derived from sources believed to be accurate as at its issue date. While such material is published with necessary permission, and while all reasonable care has been taken to ensure that the information on this website is complete and correct, to the maximum extent permitted by law neither Pendal nor any company in the Pendal group accepts any responsibility or liability for the accuracy or completeness of this information.

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