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

24/04/2018

40.297979

40.233605

23/04/2018

40.290114

40.225753

20/04/2018

40.268720

40.204393

19/04/2018

40.269554

40.205226

18/04/2018

40.275014

40.210677

17/04/2018

40.242392

40.178107

16/04/2018

40.181488

40.117300

13/04/2018

40.158163

40.094013

12/04/2018

40.183299

40.119108

11/04/2018

40.171399

40.107227

10/04/2018

40.216070

40.151827

09/04/2018

40.166805

40.102641

06/04/2018

40.135852

40.071737

05/04/2018

40.184944

40.120751

04/04/2018

40.101655

40.037595

03/04/2018

40.090628

40.026585

31/03/2018

40.135406

40.071292

29/03/2018

40.135406

40.071292

28/03/2018

40.094358

40.030310

27/03/2018

40.095158

40.031109

26/03/2018

40.080143

40.016117

23/03/2018

40.009666

39.945753

22/03/2018

40.214667

40.150427

21/03/2018

40.310017

40.245624

20/03/2018

40.320119

40.255710

19/03/2018

40.341966

40.277522

16/03/2018

40.377688

40.313187

15/03/2018

40.286097

40.221742

14/03/2018

40.244432

40.180144

13/03/2018

40.282970

40.218620