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

11/08/2023

48.165589

48.079047

10/08/2023

48.240539

48.153862

09/08/2023

48.285254

48.198497

08/08/2023

48.310587

48.223784

04/08/2023

48.072296

47.985921

03/08/2023

48.068946

47.982577

02/08/2023

48.221700

48.135057

01/08/2023

48.308480

48.221681

31/07/2023

48.138375

48.051882

28/07/2023

48.194314

48.107720

27/07/2023

48.106527

48.020091

26/07/2023

48.055325

47.968981

25/07/2023

47.917831

47.831734

24/07/2023

47.977659

47.891454

21/07/2023

47.979236

47.893029

20/07/2023

47.934018

47.847892

19/07/2023

48.149473

48.062960

18/07/2023

47.915550

47.829457

17/07/2023

47.831187

47.745246

14/07/2023

47.738303

47.652528

13/07/2023

47.627265

47.541690

12/07/2023

47.465263

47.379979

11/07/2023

47.458325

47.373054

10/07/2023

47.226669

47.141814

07/07/2023

47.157012

47.072282

06/07/2023

47.409847

47.324663

05/07/2023

47.667707

47.582059

04/07/2023

47.694654

47.608958

03/07/2023

47.712101

47.626374

01/07/2023

47.712101

47.626374