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Fund
Fund Currency Australian Dollars
Fee Class
Retail Class
Frequency

Date 05 Jun 2025 04 Jun 2025 03 Jun 2025 02 Jun 2025 30 May 2025
Buy (subscription) price 9.01 9.21 9.27 9.12 9.20
Sell (redemption) price 8.96 9.16 9.22 9.08 9.15
NAV per share 8.99 9.18 9.25 9.10 9.17

Past performance is not indicative of future performance. The value of investments may go down as well as up and investors may not get back the amount invested. Contrarius Australia Funds’ share prices fluctuate and are not guaranteed. Prices may decrease or increase as a result of currency fluctuations. There is no guarantee that an investor's capital will be preserved. Please consider the Fund's most recent product disclosure statement and seek your own independent financial advice tailored to your personal circumstances before deciding whether to invest in the Fund.

Prices are provided since the inception of each fee class and are calculated gross of all income, assume reinvestment of distributions and are net of expenses and investment management fees. Prices are based on valuations using prices at market close. Prices are calculated on every Business Day, defined as a day other than Saturday or Sunday on which banks are open for general banking business in Sydney, unless otherwise determined by the Responsible Entity. This data is based on information supplied by the Fund's Administrator. While we have endeavored to ensure the accuracy of the information herein, such information is not guaranteed as to accuracy or completeness.