What can we help you find?
Search by Topic

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Fund Prices

Barrow Hanley Global Share Fund (Managed Fund)

As of Date Nav per Unit

29/06/2023

4.465153

28/06/2023

4.459836

27/06/2023

4.407982

26/06/2023

4.379407

23/06/2023

4.370441

22/06/2023

4.356301

21/06/2023

4.371960

20/06/2023

4.380320

19/06/2023

4.360284

16/06/2023

4.355825

15/06/2023

4.349824

14/06/2023

4.332819

13/06/2023

4.350539

09/06/2023

4.315238

08/06/2023

4.336212

07/06/2023

4.354268

06/06/2023

4.327518

05/06/2023

4.335196

02/06/2023

4.354268

01/06/2023

4.300416

31/05/2023

4.311436

30/05/2023

4.332768

29/05/2023

4.327164

26/05/2023

4.348918

25/05/2023

4.329795

24/05/2023

4.323696

23/05/2023

4.320483

22/05/2023

4.342344

19/05/2023

4.325538

18/05/2023

4.368515