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

17/02/2021

45.458833

45.354518

16/02/2021

45.516245

45.411798

15/02/2021

45.482054

45.377685

12/02/2021

45.480786

45.376421

11/02/2021

45.462590

45.358266

10/02/2021

45.452676

45.348375

09/02/2021

45.399604

45.295425

08/02/2021

45.433963

45.329704

05/02/2021

45.415264

45.311048

04/02/2021

45.368236

45.264129

03/02/2021

45.342724

45.238675

02/02/2021

45.282519

45.178609

01/02/2021

45.036459

44.933112

31/01/2021

44.784726

44.681957

29/01/2021

44.784726

44.681957

28/01/2021

44.959555

44.856385

27/01/2021

44.972867

44.869666

25/01/2021

45.218334

45.114571

22/01/2021

45.183975

45.080290

21/01/2021

45.200154

45.096432

20/01/2021

45.192337

45.088633

19/01/2021

45.120142

45.016604

18/01/2021

44.999154

44.895893

15/01/2021

45.004682

44.901409

14/01/2021

44.978354

44.875141

13/01/2021

44.973926

44.870724

12/01/2021

44.942866

44.839735

11/01/2021

45.012881

44.909589

08/01/2021

45.041355

44.937998

07/01/2021

44.996197

44.892943