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

29/01/2020

44.558898

44.487718

28/01/2020

44.512509

44.441403

24/01/2020

44.533578

44.462438

23/01/2020

44.529759

44.458625

22/01/2020

44.570326

44.499127

21/01/2020

44.483871

44.412811

20/01/2020

44.496447

44.425366

17/01/2020

44.489177

44.418108

16/01/2020

44.435595

44.364612

15/01/2020

44.361191

44.290327

14/01/2020

44.298369

44.227605

13/01/2020

44.264905

44.194194

10/01/2020

44.239236

44.168566

09/01/2020

44.257174

44.186475

08/01/2020

44.181339

44.110762

07/01/2020

44.176909

44.106338

06/01/2020

44.058471

43.988090

03/01/2020

44.045277

43.974917

02/01/2020

43.944280

43.874081

31/12/2019

43.821040

43.751039

30/12/2019

43.942126

43.871931

27/12/2019

43.974078

43.903832

24/12/2019

43.949118

43.878912

23/12/2019

43.944743

43.874544

20/12/2019

43.986044

43.915779

19/12/2019

44.006975

43.936677

18/12/2019

44.032351

43.962011

17/12/2019

44.055472

43.985095

16/12/2019

44.012877

43.942569

13/12/2019

43.898843

43.828717