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

29/08/2018

41.498249

41.431957

28/08/2018

41.385803

41.319692

27/08/2018

41.350528

41.284473

24/08/2018

41.295446

41.229479

23/08/2018

41.299879

41.233904

22/08/2018

41.256986

41.191080

21/08/2018

41.255416

41.189513

20/08/2018

41.305801

41.239817

17/08/2018

41.267214

41.201292

16/08/2018

41.232942

41.167075

15/08/2018

41.241283

41.175403

14/08/2018

41.253920

41.188019

13/08/2018

41.168873

41.103108

10/08/2018

41.236566

41.170692

09/08/2018

41.234604

41.168734

08/08/2018

41.181791

41.116006

07/08/2018

41.166587

41.100826

03/08/2018

41.139346

41.073628

02/08/2018

41.131336

41.065631

01/08/2018

41.146186

41.080458

31/07/2018

41.145009

41.079282

30/07/2018

41.140900

41.075180

27/07/2018

41.195608

41.129800

26/07/2018

41.180105

41.114322

25/07/2018

41.175920

41.110143

24/07/2018

41.108373

41.042705

23/07/2018

41.094714

41.029067

20/07/2018

41.151134

41.085398

19/07/2018

41.181143

41.115358

18/07/2018

41.167451

41.101689