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

11/12/2015

36.263141

36.205213

10/12/2015

36.292020

36.234045

09/12/2015

36.400662

36.342514

08/12/2015

36.441436

36.383223

07/12/2015

36.432937

36.374737

04/12/2015

36.393334

36.335198

03/12/2015

36.467510

36.409255

02/12/2015

36.522249

36.463907

01/12/2015

36.574588

36.516162

30/11/2015

36.480474

36.422198

27/11/2015

36.552680

36.494289

26/11/2015

36.553938

36.495545

25/11/2015

36.506726

36.448408

24/11/2015

36.527879

36.469528

23/11/2015

36.591943

36.533489

20/11/2015

36.563256

36.504849

19/11/2015

36.552835

36.494444

18/11/2015

36.513362

36.455034

17/11/2015

36.437546

36.379340

16/11/2015

36.334440

36.276398

13/11/2015

36.323599

36.265574

12/11/2015

36.440918

36.382706

11/11/2015

36.557007

36.498610

10/11/2015

36.522547

36.464204

09/11/2015

36.532425

36.474067

06/11/2015

36.726014

36.667346

05/11/2015

36.657981

36.599422

04/11/2015

36.720202

36.661544

03/11/2015

36.720550

36.661891

02/11/2015

36.685717

36.627114