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

28/08/2020

43.437431

43.337754

27/08/2020

43.528406

43.428520

26/08/2020

43.520590

43.420722

25/08/2020

43.566353

43.466381

24/08/2020

43.539542

43.439631

21/08/2020

43.456137

43.356417

20/08/2020

43.428598

43.328941

19/08/2020

43.398936

43.299347

18/08/2020

43.386693

43.287132

17/08/2020

43.345140

43.245674

14/08/2020

43.367058

43.267543

13/08/2020

43.372352

43.272825

12/08/2020

43.378028

43.278487

11/08/2020

43.354149

43.254663

10/08/2020

43.317202

43.217801

07/08/2020

43.217508

43.118336

06/08/2020

43.193681

43.094564

05/08/2020

43.156830

43.057797

04/08/2020

43.162722

43.063675

31/07/2020

42.995955

42.897291

30/07/2020

43.122101

43.023148

29/07/2020

43.082593

42.983731

28/07/2020

43.018804

42.920088

27/07/2020

43.079378

42.980522

24/07/2020

43.056385

42.957583

23/07/2020

43.130029

43.031058

22/07/2020

43.090698

42.991817

21/07/2020

43.142544

43.043544

20/07/2020

43.032009

42.933263

17/07/2020

43.029521

42.930780