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

05/01/2017

38.237441

38.176359

04/01/2017

38.239399

38.178314

03/01/2017

38.250381

38.189279

31/12/2016

38.128797

38.067889

30/12/2016

38.128797

38.067889

29/12/2016

38.148117

38.087178

28/12/2016

38.115308

38.054421

23/12/2016

38.095753

38.034897

22/12/2016

38.063737

38.002933

21/12/2016

38.043903

37.983130

20/12/2016

38.028267

37.967519

19/12/2016

37.974345

37.913683

16/12/2016

37.937089

37.876487

15/12/2016

37.873472

37.812971

14/12/2016

37.837072

37.776629

13/12/2016

37.847472

37.787013

12/12/2016

37.807059

37.746665

09/12/2016

37.864243

37.803757

08/12/2016

37.876224

37.815719

07/12/2016

37.746978

37.686679

06/12/2016

37.639827

37.579699

05/12/2016

37.574789

37.514766

02/12/2016

37.547941

37.487960

01/12/2016

37.649013

37.588871

30/11/2016

37.689531

37.629324

29/11/2016

37.650778

37.590633

28/11/2016

37.642544

37.582412

25/11/2016

37.722088

37.661829

24/11/2016

37.698671

37.638450

23/11/2016

37.729896

37.669624