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

10/03/2022

46.216135

46.133095

09/03/2022

46.218616

46.135572

08/03/2022

45.981964

45.899345

07/03/2022

46.024439

45.941744

04/03/2022

46.406401

46.323020

03/03/2022

46.721948

46.638000

02/03/2022

46.931551

46.847226

01/03/2022

46.853159

46.768975

28/02/2022

46.963395

46.879013

25/02/2022

46.968872

46.884480

24/02/2022

46.876182

46.791956

23/02/2022

46.835691

46.751538

22/02/2022

47.005024

46.920567

21/02/2022

47.177031

47.092265

18/02/2022

47.257011

47.172101

17/02/2022

47.378311

47.293183

16/02/2022

47.555929

47.470482

15/02/2022

47.498914

47.413570

14/02/2022

47.392170

47.307017

11/02/2022

47.407279

47.322099

10/02/2022

47.603381

47.517849

09/02/2022

47.819924

47.734003

08/02/2022

47.625496

47.539924

07/02/2022

47.583060

47.497564

04/02/2022

47.721020

47.635277

03/02/2022

47.600759

47.515232

02/02/2022

47.829006

47.743068

01/02/2022

47.712188

47.626460

31/01/2022

47.691636

47.582197

28/01/2022

47.523318

47.414265