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

18/07/2016

37.654754

37.594602

15/07/2016

37.612965

37.552880

14/07/2016

37.583011

37.522975

13/07/2016

37.522492

37.462552

12/07/2016

37.497526

37.437626

11/07/2016

37.514282

37.454355

08/07/2016

37.380960

37.321246

07/07/2016

37.359332

37.299652

06/07/2016

37.332416

37.272780

05/07/2016

37.354793

37.295121

04/07/2016

37.374249

37.314545

01/07/2016

37.393112

37.333379

30/06/2016

37.341744

37.282092

29/06/2016

37.202185

37.142757

28/06/2016

37.108575

37.049296

27/06/2016

37.035191

36.976030

24/06/2016

37.048168

36.988986

23/06/2016

37.261829

37.202305

22/06/2016

37.250569

37.191064

21/06/2016

37.307537

37.247940

20/06/2016

37.274842

37.215297

17/06/2016

37.203807

37.144376

16/06/2016

37.244709

37.185212

15/06/2016

37.156530

37.097175

14/06/2016

37.226893

37.167425

10/06/2016

37.362625

37.302940

09/06/2016

37.447088

37.387268

08/06/2016

37.430746

37.370952

07/06/2016

37.402205

37.342457

06/06/2016

37.439371

37.379564