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

19/02/2019

41.442594

41.376392

18/02/2019

41.423496

41.357324

15/02/2019

41.419342

41.353177

14/02/2019

41.366399

41.300319

13/02/2019

41.357499

41.291432

12/02/2019

41.358885

41.292817

11/02/2019

41.328479

41.262459

08/02/2019

41.310291

41.244300

07/02/2019

41.297090

41.231120

06/02/2019

41.239140

41.173263

05/02/2019

41.112179

41.046505

04/02/2019

41.019384

40.953858

01/02/2019

40.944802

40.879395

31/01/2019

40.921469

40.856100

30/01/2019

40.951884

40.886466

29/01/2019

40.915661

40.850301

25/01/2019

40.944321

40.878915

24/01/2019

40.865263

40.799983

23/01/2019

40.797937

40.732765

22/01/2019

40.799587

40.734412

21/01/2019

40.852494

40.787234

18/01/2019

40.808233

40.743044

17/01/2019

40.725606

40.660549

16/01/2019

40.680743

40.615758

15/01/2019

40.603179

40.538318

14/01/2019

40.526535

40.461796

11/01/2019

40.558173

40.493384

10/01/2019

40.559419

40.494627

09/01/2019

40.535564

40.470811

08/01/2019

40.461211

40.396576