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

28/06/2019

42.850078

42.781627

27/06/2019

42.837715

42.769284

26/06/2019

42.819547

42.751145

25/06/2019

42.874378

42.805889

24/06/2019

42.938060

42.869469

21/06/2019

42.971267

42.902623

20/06/2019

43.003847

42.935151

19/06/2019

42.932548

42.863966

18/06/2019

42.830053

42.761634

17/06/2019

42.719198

42.650957

14/06/2019

42.697879

42.629671

13/06/2019

42.681871

42.613689

12/06/2019

42.625950

42.557858

11/06/2019

42.638706

42.570593

07/06/2019

42.467693

42.399854

06/06/2019

42.381632

42.313930

05/06/2019

42.330543

42.262923

04/06/2019

42.268558

42.201036

03/06/2019

42.195767

42.128362

31/05/2019

42.260646

42.193137

30/05/2019

42.296439

42.228873

29/05/2019

42.320287

42.252682

28/05/2019

42.378014

42.310317

27/05/2019

42.383999

42.316293

24/05/2019

42.397050

42.329323

23/05/2019

42.417688

42.349928

22/05/2019

42.478686

42.410829

21/05/2019

42.465998

42.398161

20/05/2019

42.346604

42.278958

17/05/2019

42.366999

42.299320