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

13/05/2021

45.947086

45.841651

12/05/2021

45.940473

45.835053

11/05/2021

46.073692

45.967965

10/05/2021

46.201468

46.095448

07/05/2021

46.234604

46.128508

06/05/2021

46.209011

46.102974

05/05/2021

46.173904

46.067947

04/05/2021

46.189746

46.083754

03/05/2021

46.162822

46.056891

30/04/2021

46.189765

46.083772

29/04/2021

46.266929

46.160759

28/04/2021

46.208504

46.102468

27/04/2021

46.158585

46.052664

26/04/2021

46.113098

46.007282

23/04/2021

46.205980

46.099950

22/04/2021

46.141110

46.035229

21/04/2021

46.057326

45.951637

20/04/2021

46.013152

45.907564

19/04/2021

46.113067

46.007250

16/04/2021

46.191690

46.085693

15/04/2021

46.116916

46.011091

14/04/2021

46.028285

45.922663

13/04/2021

46.091352

45.985585

12/04/2021

46.074485

45.968757

09/04/2021

46.110861

46.005050

08/04/2021

46.079369

45.973629

07/04/2021

45.948435

45.842996

06/04/2021

45.867749

45.762495

01/04/2021

45.743507

45.638538

31/03/2021

45.509538

45.405106