Unit Prices

Unit Prices can be accessed by clicking on the relevant fund in the drop down box below.

Unit prices are updated regularly but they may differ from the prices you receive should you apply for or redeem units from any of the funds. The actual transaction price will be communicated to investors via a transaction statement shortly after the transaction has been processed. The unit prices displayed may include income and any realised gains accrued but not yet distributed.

 
Bell Global Equities Fund
Unit Prices
 
FundAPIR CodeDateEntry PriceExit PriceHistory File
RetailBPF0016AU 31 July 20100.65570.6518History
WholesaleBPF0014AU 31 July 20100.64350.6396History

* The above figures reflect the latest available month end unit prices. To obtain daily unit prices please contact us.
Bell Asset Management