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

20/11/2020

44.672309

44.569799

19/11/2020

44.703118

44.600536

18/11/2020

44.625678

44.523275

17/11/2020

44.662516

44.560028

16/11/2020

44.635530

44.533104

13/11/2020

44.532769

44.430578

12/11/2020

44.456910

44.354893

11/11/2020

44.495375

44.393270

10/11/2020

44.347196

44.245431

09/11/2020

44.289131

44.187500

06/11/2020

44.088782

43.987610

05/11/2020

44.035111

43.934062

04/11/2020

43.876519

43.775835

03/11/2020

43.689465

43.589210

02/11/2020

43.543098

43.443179

31/10/2020

43.478813

43.379041

30/10/2020

43.478813

43.379041

29/10/2020

43.610311

43.510237

28/10/2020

43.644844

43.544692

27/10/2020

43.768408

43.667972

26/10/2020

43.908562

43.807804

23/10/2020

44.045110

43.944039

22/10/2020

44.017972

43.916963

21/10/2020

44.025503

43.924477

20/10/2020

44.095935

43.994747

19/10/2020

44.071226

43.970094

16/10/2020

44.107416

44.006201

15/10/2020

44.110775

44.009553

14/10/2020

44.031219

43.930180

13/10/2020

44.073295

43.972159