Ex-distribution unit prices for the period ending 31 December 2024 for Managed Investment Schemes Latest unit price Date Application Redemption Enhanced Yield Fund 27 Mar 2025 $1.1541 $1.1517 Date Application Redemption Enhanced Yield Fund - Class B 27 Mar 2025 $1.1919 $1.1895 Price history Unit Class Performance Fee OptionManagement Fee Option - Class B From Min Max Select any filter and click on Get Prices to see results