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

22/11/2016

37.694750

37.634534

21/11/2016

37.639882

37.579755

18/11/2016

37.627442

37.567334

17/11/2016

37.562273

37.502270

16/11/2016

37.503772

37.443862

15/11/2016

37.452643

37.392815

14/11/2016

37.434803

37.375003

11/11/2016

37.473701

37.413839

10/11/2016

37.478373

37.418504

09/11/2016

37.394017

37.334282

08/11/2016

37.388845

37.329118

07/11/2016

37.380613

37.320900

04/11/2016

37.258698

37.199180

03/11/2016

37.298074

37.238493

02/11/2016

37.323864

37.264241

01/11/2016

37.427831

37.368042

31/10/2016

37.509266

37.449347

28/10/2016

37.482146

37.422271

27/10/2016

37.510462

37.450541

26/10/2016

37.539100

37.479133

25/10/2016

37.660634

37.600473

24/10/2016

37.683274

37.623077

21/10/2016

37.667769

37.607597

20/10/2016

37.665345

37.605176

19/10/2016

37.624300

37.564197

18/10/2016

37.578986

37.518956

17/10/2016

37.558360

37.498362

14/10/2016

37.646969

37.586830

13/10/2016

37.686408

37.626206

12/10/2016

37.693432

37.633219