Pricing and performance

    This page provides the details of daily unit prices of your favourite funds and also their performance over a period.

    Returns quoted are before tax, after fees and costs, assume all distributions are reinvested and are annualised for periods greater than one year. 

    MyNorth Index

    Fund Name
    Code
    Buy
    Sell
    Effective

    MyNorth Australian Equity Index

    IPA3983AU
    0.96476
    0.96380
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA3983AU
    • Buy
      0.96476
    • Sell
      0.96380
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -2.64%
    • 3 month
      -2.84%
    • 1 year
      5.76%
    • 3 year
      9.53%
    • 5 year
      -
    • Since inception
      13.23%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.58
    • Currency
      AUD

    MyNorth Australian Fixed Interest Index

    IPA5654AU
    1.18569
    1.18450
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA5654AU
    • Buy
      1.18569
    • Sell
      1.18450
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.88%
    • 3 month
      -0.42%
    • 1 year
      4.33%
    • 3 year
      3.14%
    • 5 year
      -
    • Since inception
      3.77%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.91
    • Currency
      AUD

    MyNorth Australian Property Index

    IPA2425AU
    1.47759
    1.47582
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA2425AU
    • Buy
      1.47759
    • Sell
      1.47582
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -3.70%
    • 3 month
      -5.97%
    • 1 year
      1.21%
    • 3 year
      12.23%
    • 5 year
      -
    • Since inception
      16.91%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      6.01
    • Currency
      AUD

    MyNorth Emerging Markets Index

    IPA9989AU
    1.52191
    1.51568
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA9989AU
    • Buy
      1.52191
    • Sell
      1.51568
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -2.56%
    • 3 month
      8.71%
    • 1 year
      28.83%
    • 3 year
      15.24%
    • 5 year
      -
    • Since inception
      16.78%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.56
    • Currency
      AUD

    MyNorth Global Listed Infrastructure Market Index - Hedged

    IPA2641AU
    1.24413
    1.24238
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA2641AU
    • Buy
      1.24413
    • Sell
      1.24238
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      2.98%
    • 3 month
      4.36%
    • 1 year
      8.45%
    • 3 year
      6.80%
    • 5 year
      -
    • Since inception
      9.49%
    • Fund Distributions
    • Frequency
      quarterly
    • Last distribution
      31 Mar 2025
    • Cents per unit
      0.05
    • Currency
      AUD

    MyNorth International Equity Index

    IPA6998AU
    1.07640
    1.07511
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA6998AU
    • Buy
      1.07640
    • Sell
      1.07511
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.13%
    • 3 month
      5.65%
    • 1 year
      16.67%
    • 3 year
      20.33%
    • 5 year
      -
    • Since inception
      22.86%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.97
    • Currency
      AUD

    MyNorth International Equity Index - Hedged

    IPA5367AU
    1.73889
    1.73646
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA5367AU
    • Buy
      1.73889
    • Sell
      1.73646
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.28%
    • 3 month
      6.43%
    • 1 year
      15.83%
    • 3 year
      18.08%
    • 5 year
      -
    • Since inception
      21.49%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      3.22
    • Currency
      AUD

    MyNorth International Fixed Interest Index - Hedged

    IPA5310AU
    1.02941
    1.02776
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA5310AU
    • Buy
      1.02941
    • Sell
      1.02776
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.18%
    • 3 month
      1.59%
    • 1 year
      3.75%
    • 3 year
      3.46%
    • 5 year
      -
    • Since inception
      3.87%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2024
    • Cents per unit
      0.92
    • Currency
      AUD

    MyNorth International Property Index - Hedged

    IPA4080AU
    1.17999
    1.17810
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA4080AU
    • Buy
      1.17999
    • Sell
      1.17810
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      1.93%
    • 3 month
      1.92%
    • 1 year
      -0.13%
    • 3 year
      4.46%
    • 5 year
      -
    • Since inception
      6.82%
    • Fund Distributions
    • Frequency
      quarterly
    • Last distribution
      30 Sep 2024
    • Cents per unit
      0.73
    • Currency
      AUD

    MyNorth Index Defensive

    IPA0180AU
    1.07600
    1.07470
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0180AU
    • Buy
      1.07600
    • Sell
      1.07470
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.32%
    • 3 month
      1.26%
    • 1 year
      6.64%
    • 3 year
      6.97%
    • 5 year
      4.10%
    • Since inception
      4.60%
    • Past performance is not a reliable indicator of future performance.

      Download performance report
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.29
    • Currency
      AUD

    MyNorth Index Moderately Defensive

    IPA0181AU
    1.15750
    1.15610
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0181AU
    • Buy
      1.15750
    • Sell
      1.15610
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.55%
    • 3 month
      1.57%
    • 1 year
      8.15%
    • 3 year
      9.07%
    • 5 year
      6.13%
    • Since inception
      6.64%
    • Past performance is not a reliable indicator of future performance.

      Download performance report
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.64
    • Currency
      AUD

    MyNorth Index Balanced

    IPA0182AU
    1.16200
    1.16060
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0182AU
    • Buy
      1.16200
    • Sell
      1.16060
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.72%
    • 3 month
      1.68%
    • 1 year
      9.02%
    • 3 year
      10.70%
    • 5 year
      7.92%
    • Since inception
      8.49%
    • Past performance is not a reliable indicator of future performance.

      Download performance report
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      5.34
    • Currency
      AUD

    MyNorth Index Growth

    IPA0183AU
    1.21620
    1.21480
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0183AU
    • Buy
      1.21620
    • Sell
      1.21480
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.91%
    • 3 month
      1.93%
    • 1 year
      10.44%
    • 3 year
      12.41%
    • 5 year
      9.71%
    • Since inception
      10.01%
    • Past performance is not a reliable indicator of future performance.

      Download performance report
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      7.35
    • Currency
      AUD

    MyNorth Index High Growth

    IPA0184AU
    1.31760
    1.31590
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0184AU
    • Buy
      1.31760
    • Sell
      1.31590
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -1.03%
    • 3 month
      2.17%
    • 1 year
      11.50%
    • 3 year
      13.93%
    • 5 year
      11.41%
    • Since inception
      11.56%
    • Past performance is not a reliable indicator of future performance.

      Download performance report
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      7.90
    • Currency
      AUD

    North Index Defensive

    NMM0111AU
    1.06470
    1.06340
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      NMM0111AU
    • Buy
      1.06470
    • Sell
      1.06340
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.33%
    • 3 month
      1.23%
    • 1 year
      6.53%
    • 3 year
      6.94%
    • 5 year
      4.13%
    • Since inception
      5.56%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.21
    • Currency
      AUD

    North Index Moderately Defensive

    NMM0112AU
    1.09590
    1.09460
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      NMM0112AU
    • Buy
      1.09590
    • Sell
      1.09460
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.55%
    • 3 month
      1.54%
    • 1 year
      8.02%
    • 3 year
      8.98%
    • 5 year
      6.09%
    • Since inception
      6.49%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.49
    • Currency
      AUD

    North Index Balanced

    NMM0113AU
    0.95320
    0.95200
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      NMM0113AU
    • Buy
      0.95320
    • Sell
      0.95200
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.73%
    • 3 month
      1.65%
    • 1 year
      8.88%
    • 3 year
      10.59%
    • 5 year
      7.91%
    • Since inception
      7.03%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      4.33
    • Currency
      AUD

    North Index Growth

    NMM0114AU
    0.89390
    0.89280
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      NMM0114AU
    • Buy
      0.89390
    • Sell
      0.89280
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.91%
    • 3 month
      1.91%
    • 1 year
      10.25%
    • 3 year
      12.29%
    • 5 year
      9.68%
    • Since inception
      7.15%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      5.36
    • Currency
      AUD

    North Index High Growth

    NMM0115AU
    0.83260
    0.83150
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      NMM0115AU
    • Buy
      0.83260
    • Sell
      0.83150
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -1.04%
    • 3 month
      2.14%
    • 1 year
      11.45%
    • 3 year
      13.91%
    • 5 year
      11.44%
    • Since inception
      7.43%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      4.95
    • Currency
      AUD

    North Professional

    Fund Name
    Code
    Buy
    Sell
    Effective

    North Professional Balanced

    IPA0077AU
    1.20050
    1.19760
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0077AU
    • Buy
      1.20050
    • Sell
      1.19760
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.71%
    • 3 month
      1.49%
    • 1 year
      8.36%
    • 3 year
      10.08%
    • 5 year
      7.49%
    • Since inception
      7.64%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      5.67
    • Currency
      AUD

    North Professional Conservative

    IPA0176AU
    1.02200
    1.02020
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0176AU
    • Buy
      1.02200
    • Sell
      1.02020
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.32%
    • 3 month
      1.32%
    • 1 year
      6.14%
    • 3 year
      6.52%
    • 5 year
      3.58%
    • Since inception
      3.99%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.76
    • Currency
      AUD

    North Professional Growth

    IPA0078AU
    1.18280
    1.17990
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0078AU
    • Buy
      1.18280
    • Sell
      1.17990
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.89%
    • 3 month
      1.60%
    • 1 year
      9.08%
    • 3 year
      11.66%
    • 5 year
      9.26%
    • Since inception
      8.71%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      7.15
    • Currency
      AUD

    North Professional High Growth

    IPA0079AU
    1.19280
    1.18970
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0079AU
    • Buy
      1.19280
    • Sell
      1.18970
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -1.09%
    • 3 month
      1.58%
    • 1 year
      9.80%
    • 3 year
      12.74%
    • 5 year
      10.38%
    • Since inception
      9.55%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      7.04
    • Currency
      AUD

    North Professional Moderately Conservative

    IPA0080AU
    1.15070
    1.14820
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0080AU
    • Buy
      1.15070
    • Sell
      1.14820
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.50%
    • 3 month
      1.46%
    • 1 year
      7.27%
    • 3 year
      8.34%
    • 5 year
      5.69%
    • Since inception
      6.40%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      3.61
    • Currency
      AUD

    Specialist

    Fund Name
    Code
    Buy
    Sell
    Effective

    Specialist Australian Share Fund - Wholesale

    AMP0681AU
    1.43009
    1.42580
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0681AU
    • Buy
      1.43009
    • Sell
      1.42580
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -1.94%
    • 3 month
      -1.50%
    • 1 year
      3.47%
    • 3 year
      9.58%
    • 5 year
      8.55%
    • Since inception
      8.89%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      14.60
    • Currency
      AUD

    Specialist Australian Small Companies Fund - On-platform Class A

    AMP0973AU
    0.93197
    0.92825
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0973AU
    • Buy
      0.93197
    • Sell
      0.92825
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -2.33%
    • 3 month
      1.87%
    • 1 year
      15.89%
    • 3 year
      11.18%
    • 5 year
      7.77%
    • Since inception
      7.39%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      6.31
    • Currency
      AUD

    Specialist Diversified Fixed Income Fund - On-platform Class A

    AMP1992AU
    0.89183
    0.89005
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP1992AU
    • Buy
      0.89183
    • Sell
      0.89005
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.54%
    • 3 month
      0.43%
    • 1 year
      4.20%
    • 3 year
      3.50%
    • 5 year
      -0.24%
    • Since inception
      2.29%
    • Fund Distributions
    • Frequency
      quarterly
    • Last distribution
      30 Sep 2025
    • Cents per unit
      0.13
    • Currency
      AUD

    Specialist Geared Australian Share Fund - On-platform Class A

    AMP0969AU
    1.35075
    1.34401
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0969AU
    • Buy
      1.35075
    • Sell
      1.34401
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -6.37%
    • 3 month
      -9.38%
    • 1 year
      -12.02%
    • 3 year
      4.57%
    • 5 year
      9.50%
    • Since inception
      6.99%
    • Fund Distributions
    • Frequency
      yearly
    • Last distribution
      30 Jun 2024
    • Cents per unit
      9.35
    • Currency
      AUD

    Specialist Geared Australian Share Fund - Wholesale

    -
    1.93747
    1.92780
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      -
    • Buy
      1.93747
    • Sell
      1.92780
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -6.14%
    • 3 month
      -8.76%
    • 1 year
      -9.73%
    • 3 year
      7.18%
    • 5 year
      12.20%
    • Since inception
      9.58%
    • Fund Distributions
    • Frequency
      yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      0.87
    • Currency
      AUD

    Specialist International Share (Hedged) Fund - On-platform Class A

    AMP0825AU
    2.37939
    2.37226
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0825AU
    • Buy
      2.37939
    • Sell
      2.37226
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      1.03%
    • 3 month
      5.25%
    • 1 year
      13.44%
    • 3 year
      16.57%
    • 5 year
      11.38%
    • Since inception
      8.59%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      24.91
    • Currency
      AUD

    Specialist International Share Fund - On-platform Class A

    AMP0824AU
    2.52209
    2.51454
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0824AU
    • Buy
      2.52209
    • Sell
      2.51454
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.88%
    • 3 month
      4.51%
    • 1 year
      14.14%
    • 3 year
      18.58%
    • 5 year
      14.10%
    • Since inception
      8.90%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      12.41
    • Currency
      AUD

    Specialist International Share Fund - Wholesale

    Closed to all investors
    -
    2.25638
    2.24963
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      -
    • Buy
      2.25638
    • Sell
      2.24963
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.88%
    • 3 month
      4.53%
    • 1 year
      14.19%
    • 3 year
      18.67%
    • 5 year
      13.11%
    • Since inception
      8.53%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      11.31
    • Currency
      AUD

    Goals based

    Fund Name
    Code
    Buy
    Sell
    Effective

    AMP Capital Income Generator - mFund Class R

    Closed to all investors
    IPA0174AU
    1.04617
    1.04387
    30 Jul 2025
    row-trigger
    • Overview
    • Code
      IPA0174AU
    • Buy
      1.04617
    • Sell
      1.04387
    • Effective
      30 Jul 2025
    • Performance
      As at 30 Jul 2025
    • 1 month
      1.69%
    • 3 month
      3.84%
    • 1 year
      8.91%
    • 3 year
      7.47%
    • 5 year
      6.85%
    • Since inception
      6.62%
    • Fund Distributions
    • Frequency
      monthly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      5.09
    • Currency
      AUD

    ipac Income Generator

    IPA0076AU
    1.02720
    1.02530
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0076AU
    • Buy
      1.02720
    • Sell
      1.02530
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.30%
    • 3 month
      -0.29%
    • 1 year
      6.53%
    • 3 year
      6.63%
    • 5 year
      6.12%
    • Since inception
      6.53%
    • Fund Distributions
    • Frequency
      monthly
    • Last distribution
      30 Nov 2025
    • Cents per unit
      0.37
    • Currency
      AUD

    ipac Income Generator - Off-platform Class H

    IPA0173AU
    1.01580
    1.01400
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0173AU
    • Buy
      1.01580
    • Sell
      1.01400
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.29%
    • 3 month
      -0.27%
    • 1 year
      6.68%
    • 3 year
      6.71%
    • 5 year
      6.14%
    • Since inception
      5.62%
    • Fund Distributions
    • Frequency
      monthly
    • Last distribution
      30 Nov 2025
    • Cents per unit
      0.34
    • Currency
      AUD

    Diversified

    Fund Name
    Code
    Buy
    Sell
    Effective

    AMP Australian Equity Index Fund-Wholesale

    AMP9555AU
    1.58991
    1.58832
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP9555AU
    • Buy
      1.58991
    • Sell
      1.58832
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -2.64%
    • 3 month
      -2.84%
    • 1 year
      5.78%
    • 3 year
      9.59%
    • 5 year
      9.71%
    • Since inception
      12.56%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      2.62
    • Currency
      AUD

    AMP Australian Fixed Interest Index Fund-Wholesale

    AMP4020AU
    0.86884
    0.86797
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP4020AU
    • Buy
      0.86884
    • Sell
      0.86797
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.88%
    • 3 month
      -0.42%
    • 1 year
      4.33%
    • 3 year
      3.16%
    • 5 year
      -0.42%
    • Since inception
      -0.10%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.40
    • Currency
      AUD

    AMP Australian Property Index Fund-Wholesale

    AMP3561AU
    1.21083
    1.20938
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP3561AU
    • Buy
      1.21083
    • Sell
      1.20938
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -3.70%
    • 3 month
      -5.97%
    • 1 year
      1.22%
    • 3 year
      12.28%
    • 5 year
      8.12%
    • Since inception
      12.45%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      4.93
    • Currency
      AUD

    AMP Balanced Growth Fund - On-platform Class A

    Closed to new investors
    AMP0441AU
    1.28672
    1.28402
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0441AU
    • Buy
      1.28672
    • Sell
      1.28402
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.79%
    • 3 month
      1.35%
    • 1 year
      8.18%
    • 3 year
      9.93%
    • 5 year
      7.12%
    • Since inception
      7.02%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      9.33
    • Currency
      AUD

    AMP Balanced Growth Fund - Wholesale

    Closed to new investors
    AMP0442AU
    1.29272
    1.29001
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP0442AU
    • Buy
      1.29272
    • Sell
      1.29001
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.77%
    • 3 month
      1.42%
    • 1 year
      8.51%
    • 3 year
      10.26%
    • 5 year
      7.45%
    • Since inception
      6.70%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      9.57
    • Currency
      AUD

    AMP Emerging Markets Index Fund

    Closed to new investors
    IPA8958AU
    1.53912
    1.53282
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA8958AU
    • Buy
      1.53912
    • Sell
      1.53282
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -2.56%
    • 3 month
      8.70%
    • 1 year
      29.23%
    • 3 year
      15.54%
    • 5 year
      -
    • Since inception
      17.06%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.71
    • Currency
      AUD

    AMP Global Listed Infrastructure Market Index Fund - Hedged

    IPA4396AU
    1.24783
    1.24608
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA4396AU
    • Buy
      1.24783
    • Sell
      1.24608
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      2.99%
    • 3 month
      4.38%
    • 1 year
      8.54%
    • 3 year
      6.92%
    • 5 year
      -
    • Since inception
      9.61%
    • Fund Distributions
    • Frequency
      quarterly
    • Last distribution
      31 Mar 2025
    • Cents per unit
      0.05
    • Currency
      AUD

    AMP International Equity Index Fund - Hedged

    IPA3419AU
    1.74127
    1.73883
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA3419AU
    • Buy
      1.74127
    • Sell
      1.73883
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.29%
    • 3 month
      6.44%
    • 1 year
      15.88%
    • 3 year
      18.14%
    • 5 year
      -
    • Since inception
      21.55%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      3.27
    • Currency
      AUD

    AMP International Equity Index Fund-Wholesale

    AMP7078AU
    1.64621
    1.64424
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP7078AU
    • Buy
      1.64621
    • Sell
      1.64424
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.13%
    • 3 month
      5.65%
    • 1 year
      16.69%
    • 3 year
      20.37%
    • 5 year
      15.68%
    • Since inception
      16.23%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      3.02
    • Currency
      AUD

    AMP International Fixed Interest Index Fund - Hedged-Wholesale

    AMP7626AU
    0.83122
    0.82989
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP7626AU
    • Buy
      0.83122
    • Sell
      0.82989
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.18%
    • 3 month
      1.58%
    • 1 year
      3.70%
    • 3 year
      3.45%
    • 5 year
      -0.58%
    • Since inception
      -0.12%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2024
    • Cents per unit
      0.73
    • Currency
      AUD

    AMP International Property Index Fund - Hedged - Wholesale

    AMP4344AU
    1.24061
    1.23862
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      AMP4344AU
    • Buy
      1.24061
    • Sell
      1.23862
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      1.93%
    • 3 month
      1.91%
    • 1 year
      -0.17%
    • 3 year
      4.50%
    • 5 year
      3.10%
    • Since inception
      5.63%
    • Fund Distributions
    • Frequency
      quarterly
    • Last distribution
      30 Sep 2024
    • Cents per unit
      0.77
    • Currency
      AUD

    Diversified Investment Strategy No. 1

    IPA0123AU
    0.99460
    0.99290
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0123AU
    • Buy
      0.99460
    • Sell
      0.99290
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.32%
    • 3 month
      1.29%
    • 1 year
      5.95%
    • 3 year
      6.35%
    • 5 year
      3.42%
    • Since inception
      5.19%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.51
    • Currency
      AUD

    Diversified Investment Strategy No. 2

    IPA0115AU
    1.16740
    1.16460
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0115AU
    • Buy
      1.16740
    • Sell
      1.16460
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.71%
    • 3 month
      1.48%
    • 1 year
      8.26%
    • 3 year
      10.01%
    • 5 year
      7.46%
    • Since inception
      6.39%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      5.25
    • Currency
      AUD

    Diversified Investment Strategy No. 3

    IPA0116AU
    1.05330
    1.05070
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0116AU
    • Buy
      1.05330
    • Sell
      1.05070
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.89%
    • 3 month
      1.58%
    • 1 year
      8.98%
    • 3 year
      11.55%
    • 5 year
      9.23%
    • Since inception
      6.59%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      6.08
    • Currency
      AUD

    Diversified Investment Strategy No. 4

    IPA0124AU
    1.14880
    1.14590
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA0124AU
    • Buy
      1.14880
    • Sell
      1.14590
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -1.10%
    • 3 month
      1.56%
    • 1 year
      9.70%
    • 3 year
      12.70%
    • 5 year
      10.32%
    • Since inception
      6.95%
    • Fund Distributions
    • Frequency
      half-yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      6.49
    • Currency
      AUD

    MyNorth Essentials Index Balanced

    IPA7198AU
    1.15390
    1.15250
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA7198AU
    • Buy
      1.15390
    • Sell
      1.15250
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.88%
    • 3 month
      1.40%
    • 1 year
      9.21%
    • 3 year
      -
    • 5 year
      -
    • Since inception
      11.01%

    MyNorth Essentials Index Growth Fund

    IPA8954AU
    1.16160
    1.16020
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA8954AU
    • Buy
      1.16160
    • Sell
      1.16020
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -1.01%
    • 3 month
      1.52%
    • 1 year
      10.01%
    • 3 year
      -
    • 5 year
      -
    • Since inception
      12.21%

    Wholesale Global Equity - Value Fund

    NML0348AU
    2.72303
    2.71759
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      NML0348AU
    • Buy
      2.72303
    • Sell
      2.71759
    • Effective
      11 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      0.98%
    • 3 month
      8.04%
    • 1 year
      19.33%
    • 3 year
      18.71%
    • 5 year
      15.01%
    • Since inception
      5.68%
    • Fund Distributions
    • Frequency
      yearly
    • Last distribution
      30 Jun 2025
    • Cents per unit
      1.69
    • Currency
      AUD

    Constructor series

    Fund Name
    Code
    Buy
    Sell
    Effective

    ipac Dimensional Global Listed Infrastructure Fund

    IPA2182AU
    0.99390
    0.99180
    11 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA2182AU
    • Buy
      0.99390
    • Sell
      0.99180
    • Effective
      11 Dec 2025

    SouthPeak Alternative Alpha Fund

    IPA6729AU
    1.09543
    1.09324
    12 Dec 2025
    row-trigger
    • Overview
    • Code
      IPA6729AU
    • Buy
      1.09543
    • Sell
      1.09324
    • Effective
      12 Dec 2025
    • Performance
      As at 30 Nov 2025
    • 1 month
      -0.01%
    • 3 month
      0.84%
    • 1 year
      -
    • 3 year
      -
    • 5 year
      -
    • Since inception
      7.49%

    What you need to know

    The information on this web page is provided by National Mutual Funds Management Ltd (ABN 32 006 787 720, AFSL 234652) (NMFM) and is general in nature only. It doesn’t consider your personal goals, financial situation or needs. ipac Asset Management Limited ABN 22 003 257 225, AFSL 234655) (IAML) is the responsible entity and the issuer of the units in the funds and the Product Disclosure Statements (PDS). To invest in a fund, investors will need to obtain and consider the current PDS or other offer document for the relevant fund available at amp.com.au/investments-pds. The PDS or offer document contains important information about investing in the fund and it is important that investors read the PDS or offer document, consider the appropriateness of this information and seek professional advice before making a decision about whether to acquire or continue to hold or dispose of units in the fund. A target market determination has been made in respect of the funds and is available at amp.com.au/investments-tmd. NMFM and IAML are part of the AMP Group. Past performance is not a reliable indicator of future performance. The AMP Group does not guarantee the repayment of capital or the performance of any product or any particular rate of return referred to on this web page. NMFM can be contacted on 131 267 or askamp@amp.com.au.  

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

    Our unit price discretion policy states 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.

    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 of a completed application or redemption form. The AMP Group does not make 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.

    Returns are calculated using the unit price which uses the net asset values for the relevant month end. This price may differ from the actual unit price for an investor applying for or redeeming an investment. Actual unit prices will be confirmed following any transaction by an investor. Returns quoted are before tax, after fees and costs, assume all distributions are reinvested and are annualised for periods greater than one year. All information on this web site is subject to change without notice.