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

30/08/2022

45.673441

45.591377

29/08/2022

45.661824

45.579780

26/08/2022

45.837622

45.755263

25/08/2022

45.961422

45.878840

24/08/2022

45.861915

45.779512

23/08/2022

45.761495

45.679272

22/08/2022

45.998457

45.915809

19/08/2022

46.305358

46.222158

18/08/2022

46.384739

46.301396

17/08/2022

46.447532

46.364077

16/08/2022

46.381196

46.297860

15/08/2022

46.283252

46.200092

12/08/2022

46.056665

45.973912

11/08/2022

45.997424

45.914777

10/08/2022

45.978062

45.895450

09/08/2022

46.025726

45.943029

08/08/2022

46.006038

45.923376

05/08/2022

46.148936

46.066017

04/08/2022

46.078874

45.996081

03/08/2022

46.090733

46.007919

02/08/2022

46.007332

45.924668

31/07/2022

45.940077

45.857533

29/07/2022

45.940077

45.857533

28/07/2022

45.726149

45.643990

27/07/2022

45.541137

45.459310

26/07/2022

45.296496

45.215109

25/07/2022

45.392702

45.311142

22/07/2022

45.365780

45.284268

21/07/2022

45.407404

45.325818

20/07/2022

45.290458

45.209082