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Unit Prices

Conservative

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

10/12/2021

48.355109

48.244147

09/12/2021

48.380790

48.269770

08/12/2021

48.447705

48.336531

07/12/2021

48.400789

48.289723

06/12/2021

48.263548

48.152797

03/12/2021

48.186563

48.075988

02/12/2021

48.096396

47.986028

01/12/2021

47.896784

47.786874

30/11/2021

48.052418

47.942151

29/11/2021

48.142153

48.031680

26/11/2021

48.137214

48.026752

25/11/2021

48.350379

48.239428

24/11/2021

48.324498

48.213607

23/11/2021

48.291712

48.180896

22/11/2021

48.284718

48.173918

19/11/2021

48.410316

48.299228

18/11/2021

48.428003

48.316874

17/11/2021

48.376659

48.265648

16/11/2021

48.370866

48.259868

15/11/2021

48.383145

48.272119

12/11/2021

48.407880

48.296797

11/11/2021

48.340219

48.229292

10/11/2021

48.329448

48.218545

09/11/2021

48.412560

48.301467

08/11/2021

48.370656

48.259659

05/11/2021

48.330994

48.220088

04/11/2021

48.238216

48.127523

03/11/2021

48.114185

48.003776

02/11/2021

48.007082

47.896919

01/11/2021

47.911352

47.801409