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

07/01/2015

35.622897

35.565992

06/01/2015

35.541806

35.485030

05/01/2015

35.646163

35.589220

02/01/2015

35.665711

35.608737

31/12/2014

35.608542

35.551659

30/12/2014

35.642426

35.585489

29/12/2014

35.715072

35.658020

24/12/2014

35.623097

35.566191

23/12/2014

35.614312

35.557420

22/12/2014

35.631948

35.575028

19/12/2014

35.488272

35.431581

18/12/2014

35.388694

35.332162

17/12/2014

35.293930

35.237550

16/12/2014

35.184354

35.128149

15/12/2014

35.188803

35.132591

12/12/2014

35.251592

35.195279

11/12/2014

35.329109

35.272673

10/12/2014

35.305724

35.249325

09/12/2014

35.308687

35.252283

08/12/2014

35.381732

35.325211

05/12/2014

35.404633

35.348076

04/12/2014

35.356544

35.300064

03/12/2014

35.321674

35.265249

02/12/2014

35.248275

35.191968

01/12/2014

35.187113

35.130903

30/11/2014

35.228829

35.172553

28/11/2014

35.228829

35.172553

27/11/2014

35.247833

35.191527

26/11/2014

35.244855

35.188553

25/11/2014

35.162120

35.105951