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

31/10/2021

47.747443

47.637876

29/10/2021

47.747443

47.637876

28/10/2021

47.876972

47.767108

27/10/2021

47.894607

47.784702

26/10/2021

47.968311

47.858237

25/10/2021

47.974965

47.864876

22/10/2021

47.956527

47.846480

21/10/2021

47.952120

47.842083

20/10/2021

47.934134

47.824138

19/10/2021

47.928958

47.818974

18/10/2021

47.932072

47.822081

15/10/2021

47.958458

47.848407

14/10/2021

47.854966

47.745152

13/10/2021

47.731445

47.621915

12/10/2021

47.640253

47.530932

11/10/2021

47.657789

47.548428

08/10/2021

47.839653

47.729874

07/10/2021

47.841245

47.731463

06/10/2021

47.770467

47.660847

05/10/2021

47.828059

47.718307

01/10/2021

47.898402

47.788488

30/09/2021

48.002327

47.892175

29/09/2021

48.018554

47.908365

28/09/2021

48.072399

47.962086

27/09/2021

48.247078

48.136364

24/09/2021

48.308949

48.198093

23/09/2021

48.350581

48.239630

22/09/2021

48.273805

48.163030

21/09/2021

48.222015

48.111359

20/09/2021

48.139164

48.028698