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

06/06/2022

45.716217

45.634076

03/06/2022

45.712164

45.630030

02/06/2022

45.769030

45.686794

01/06/2022

45.769870

45.687632

31/05/2022

45.898067

45.815599

30/05/2022

46.029993

45.947288

27/05/2022

45.961482

45.878900

26/05/2022

45.805869

45.723567

25/05/2022

45.654932

45.572901

24/05/2022

45.533091

45.451279

23/05/2022

45.590802

45.508886

20/05/2022

45.558367

45.476509

19/05/2022

45.445066

45.363412

18/05/2022

45.565010

45.483140

17/05/2022

45.746445

45.664249

16/05/2022

45.713326

45.631190

13/05/2022

45.727448

45.645286

12/05/2022

45.456949

45.375274

11/05/2022

45.370641

45.289121

10/05/2022

45.441574

45.359926

09/05/2022

45.385444

45.303897

06/05/2022

45.658035

45.575998

05/05/2022

45.944353

45.861802

04/05/2022

46.102524

46.019689

03/05/2022

46.095012

46.012190

02/05/2022

46.198642

46.115634

30/04/2022

46.289174

46.206003

29/04/2022

46.289174

46.206003

28/04/2022

46.447075

46.363620

27/04/2022

46.230136

46.147071