Unit Price History - DWS Diversified Income Fund


For daily priced funds, unit prices are calculated each business day based upon the net value of the Fund(s) divided by the number of units on issue in the Fund(s).

For monthly priced funds, unit prices are calculated on the last business day of each month.

We apply a unit price .buy/sell differential. to increase the purchase unit price by an allowance for the estimated costs of the purchase of assets in the fund and to reduce the redemption unit price by an allowance for the estimated costs of the sale of assets in the fund.

The information provided above is derived from sources believed to be accurate. This site is updated daily. However, there is no warranty as to its accuracy, completeness or availability. The availability of some unit prices may be delayed following the end of a distribution period.
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Date Currency Redemption Price Purchase Price Distribution (cpu)
29/07/2011 AUD 1.0022 1.0043
28/07/2011 AUD 1.0030 1.0051
27/07/2011 AUD 1.0031 1.0052
26/07/2011 AUD 1.0013 1.0034
25/07/2011 AUD 1.0019 1.0040
22/07/2011 AUD 1.0027 1.0048
21/07/2011 AUD 1.0025 1.0046
20/07/2011 AUD 1.0013 1.0034
19/07/2011 AUD 1.0013 1.0034
18/07/2011 AUD 1.0009 1.0030
15/07/2011 AUD 1.0008 1.0029
14/07/2011 AUD 1.0013 1.0034
13/07/2011 AUD 1.0013 1.0034
12/07/2011 AUD 1.0011 1.0032
11/07/2011 AUD 1.0025 1.0046
08/07/2011 AUD 1.0050 1.0071
07/07/2011 AUD 1.0068 1.0089
06/07/2011 AUD 1.0058 1.0079
05/07/2011 AUD 1.0066 1.0087
04/07/2011 AUD 1.0076 1.0097
01/07/2011 AUD 1.0073 1.0094
30/06/2011 AUD 1.0059 1.0080 2.0736
29/06/2011 AUD 1.0246 1.0267
28/06/2011 AUD 1.0221 1.0242
27/06/2011 AUD 1.0207 1.0228

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