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

13/12/2017

40.330442

40.266016

12/12/2017

40.351148

40.286689

11/12/2017

40.337681

40.273243

08/12/2017

40.334099

40.269667

07/12/2017

40.268424

40.204097

06/12/2017

40.187312

40.123115

05/12/2017

40.156934

40.092786

04/12/2017

40.197209

40.132996

01/12/2017

40.219258

40.155010

30/11/2017

40.233135

40.168864

29/11/2017

40.241501

40.177217

28/11/2017

40.223594

40.159339

27/11/2017

40.169274

40.105106

24/11/2017

40.177738

40.113556

23/11/2017

40.154382

40.090238

22/11/2017

40.171288

40.107117

21/11/2017

40.134281

40.070168

20/11/2017

40.097222

40.033169

17/11/2017

40.097287

40.033234

16/11/2017

40.043282

39.979315

15/11/2017

39.991023

39.927140

14/11/2017

40.000107

39.936209

13/11/2017

40.048397

39.984422

10/11/2017

40.023181

39.959246

09/11/2017

40.043752

39.979784

08/11/2017

40.033430

39.969479

07/11/2017

40.043520

39.979552

06/11/2017

39.979077

39.915212

03/11/2017

39.965892

39.902049

02/11/2017

39.841816

39.778171