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

06/01/2021

44.841125

44.738227

05/01/2021

44.922583

44.819498

04/01/2021

44.942218

44.839088

31/12/2020

44.885834

44.782834

30/12/2020

44.972203

44.869004

29/12/2020

45.003797

44.900526

24/12/2020

44.896040

44.793016

23/12/2020

44.870339

44.767374

22/12/2020

44.864776

44.761824

21/12/2020

44.850193

44.747274

18/12/2020

44.891450

44.788437

17/12/2020

44.972631

44.869432

16/12/2020

44.896176

44.793152

15/12/2020

44.843787

44.740883

14/12/2020

44.771194

44.668457

11/12/2020

44.751683

44.648990

10/12/2020

44.826356

44.723492

09/12/2020

44.918808

44.815731

08/12/2020

45.012025

44.908734

07/12/2020

44.948416

44.845272

04/12/2020

44.968693

44.865503

03/12/2020

44.841140

44.738242

02/12/2020

44.871961

44.768992

01/12/2020

44.897900

44.794871

30/11/2020

44.725491

44.622858

27/11/2020

44.800025

44.697222

26/11/2020

44.828393

44.725524

25/11/2020

44.871033

44.768066

24/11/2020

44.852144

44.749221

23/11/2020

44.770537

44.667801