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

06/08/2021

48.004645

47.894488

05/08/2021

47.920620

47.810655

04/08/2021

47.894209

47.784305

03/08/2021

47.897019

47.787108

31/07/2021

47.816504

47.706778

30/07/2021

47.816504

47.706778

29/07/2021

47.785677

47.676022

28/07/2021

47.780254

47.670612

27/07/2021

47.684827

47.575403

26/07/2021

47.715186

47.605693

23/07/2021

47.776603

47.666969

22/07/2021

47.655559

47.546203

21/07/2021

47.617181

47.507913

20/07/2021

47.514199

47.405167

19/07/2021

47.411592

47.302796

16/07/2021

47.528129

47.419065

15/07/2021

47.526001

47.416942

14/07/2021

47.515787

47.406751

13/07/2021

47.506960

47.397945

12/07/2021

47.508647

47.399628

09/07/2021

47.425309

47.316481

08/07/2021

47.470340

47.361409

07/07/2021

47.477102

47.368155

06/07/2021

47.358336

47.249662

05/07/2021

47.387785

47.279043

02/07/2021

47.430446

47.321606

01/07/2021

47.363741

47.255054

30/06/2021

47.293933

47.185407

29/06/2021

47.263927

47.155469

28/06/2021

47.171945

47.063698