What can we help you find?

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")

Unit Prices

Conservative

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

19/07/2022

45.117874

45.036808

18/07/2022

45.057228

44.976271

15/07/2022

45.059501

44.978540

14/07/2022

45.062345

44.981379

13/07/2022

45.037660

44.956738

12/07/2022

45.077787

44.996793

11/07/2022

45.167206

45.086051

08/07/2022

45.149566

45.068443

07/07/2022

45.182560

45.101378

06/07/2022

45.143308

45.062196

05/07/2022

45.079240

44.998243

04/07/2022

44.989151

44.908316

01/07/2022

45.011054

44.930180

30/06/2022

44.703358

44.623037

29/06/2022

44.872807

44.792181

28/06/2022

44.918669

44.837961

27/06/2022

45.001786

44.920928

24/06/2022

44.901535

44.820857

23/06/2022

44.576599

44.496505

22/06/2022

44.392532

44.312769

21/06/2022

44.300934

44.221336

20/06/2022

44.143117

44.063802

17/06/2022

44.206150

44.126722

16/06/2022

44.205871

44.126443

15/06/2022

44.437273

44.357430

14/06/2022

44.537128

44.457105

10/06/2022

45.107914

45.026866

09/06/2022

45.418737

45.337130

08/06/2022

45.590539

45.508623

07/06/2022

45.627443

45.545461