Daily Unit Pricing

Fund Name Date Buy Price Sell Price
Aggressive (ex GAL fund) 09/12/2025 7.0161 6.9324
Balanced (Lifeplan) 09/12/2025 4.9891 4.8437
Capital (Life Yield)* 09/12/2025 8.1085 7.7223
Capital (Lifeplan) 09/12/2025 3.0526 2.9636
Capital Protected (Ex Oceanic)* 09/12/2025 4.6968 4.6967
Capital Secured (Ex Oceanic)* 09/12/2025 3.3306 3.3305
Conservative (ex GAL fund) 09/12/2025 5.5882 5.5604
Conservative (Lifeplan) 09/12/2025 3.8043 3.6934
Dynamic (Lifeplan) 09/12/2025 5.2280 5.0756
Equity Fund (ex GAL fund) 09/12/2025 22.9866 22.5765
European (Lifeplan) 09/12/2025 4.7384 4.6003
European Equity (ex GAL fund) 09/12/2025 5.4905 5.4905
Fixed Interest (ex GAL fund) 09/12/2025 6.8702 6.8592
Global (Life Yield)* 09/12/2025 23.2119 22.1065
Global (Lifeplan) 09/12/2025 7.2517 7.0403
Global Bond (Lifeplan) 09/12/2025 2.9256 2.8403
International Equity (ex GAL fund) 09/12/2025 10.3071 10.3071
Managed (ex GAL fund) 09/12/2025 15.5814 15.4882
Money (ex GAL fund)* 09/12/2025 4.8013 4.8013
North American (Lifeplan) 09/12/2025 10.9896 10.6694
North American Equity (ex GAL fund) 09/12/2025 12.2030 12.2030
NZ Bond (Lifeplan) 09/12/2025 3.7541 3.6447
NZ Managed (Ex Oceanic)* 09/12/2025 6.1883 6.1882
Trans Tasman (Lifeplan) 09/12/2025 9.2355 8.9664
Wise Managed Fund 09/12/2025 3.6480 3.6262

Please Note:

We make every attempt to update unit prices as they change however it is possible that unforeseen circumstances may prevent us from showing the latest unit prices on the website.

Whilst every reasonable effort has been made to ensure that the information is correct in every respect Asteron Life Limited will not be liable for any error or misprint or delay.

If you are taking a part surrender or full surrender from your investment the unit price may vary from those shown above. The actual price that will be used for any transaction will be determined on the day the transaction is processed.