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

12/12/2019

43.836413

43.766387

11/12/2019

43.891719

43.821604

10/12/2019

43.905378

43.835242

09/12/2019

43.903999

43.833864

06/12/2019

43.905152

43.835016

05/12/2019

43.829401

43.759386

04/12/2019

43.773702

43.703776

03/12/2019

43.819551

43.749552

02/12/2019

43.942786

43.872590

30/11/2019

44.085473

44.015049

29/11/2019

44.085473

44.015049

28/11/2019

44.126347

44.055858

27/11/2019

44.095335

44.024895

26/11/2019

44.001336

43.931046

25/11/2019

43.942023

43.871829

22/11/2019

43.828974

43.758960

21/11/2019

43.813584

43.743594

20/11/2019

43.868417

43.798339

19/11/2019

43.916146

43.845992

18/11/2019

43.871435

43.801353

15/11/2019

43.846602

43.776559

14/11/2019

43.793955

43.723997

13/11/2019

43.692229

43.622433

12/11/2019

43.722247

43.652403

11/11/2019

43.701974

43.632162

08/11/2019

43.662235

43.592487

07/11/2019

43.661377

43.591630

06/11/2019

43.604302

43.534647

05/11/2019

43.648058

43.578333

04/11/2019

43.660033

43.590288