What can we help you find?
Search by Topic

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

25/06/2021

47.153691

47.045486

24/06/2021

47.096189

46.988117

23/06/2021

47.047391

46.939431

22/06/2021

47.193115

47.084820

21/06/2021

47.033386

46.925458

18/06/2021

47.090261

46.982201

17/06/2021

47.047080

46.939120

16/06/2021

46.957372

46.849617

15/06/2021

47.056560

46.948578

11/06/2021

47.068728

46.960718

10/06/2021

46.975640

46.867844

09/06/2021

46.880742

46.773163

08/06/2021

46.857060

46.749536

07/06/2021

46.786204

46.678842

04/06/2021

46.777127

46.669787

03/06/2021

46.773090

46.665759

02/06/2021

46.684770

46.577642

01/06/2021

46.572891

46.466019

31/05/2021

46.564330

46.457477

28/05/2021

46.628738

46.521738

27/05/2021

46.468738

46.362105

26/05/2021

46.459129

46.352518

25/05/2021

46.405929

46.299440

24/05/2021

46.316671

46.210387

21/05/2021

46.239097

46.132991

20/05/2021

46.164049

46.058115

19/05/2021

46.035620

45.929981

18/05/2021

46.114970

46.009149

17/05/2021

46.137587

46.031714

14/05/2021

46.111344

46.005531