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

16/07/2020

42.973099

42.874488

15/07/2020

43.012775

42.914073

14/07/2020

42.862679

42.764321

13/07/2020

42.857906

42.759559

10/07/2020

42.869847

42.771472

09/07/2020

42.850617

42.752287

08/07/2020

42.840625

42.742318

07/07/2020

42.888944

42.790526

06/07/2020

42.964258

42.865667

03/07/2020

42.932316

42.833799

02/07/2020

42.952307

42.853743

01/07/2020

42.786865

42.688681

30/06/2020

42.733444

42.635383

29/06/2020

42.623839

42.526029

26/06/2020

42.683894

42.585947

25/06/2020

42.697058

42.599080

24/06/2020

42.788606

42.690418

23/06/2020

42.873769

42.775386

22/06/2020

42.870715

42.772338

19/06/2020

42.911973

42.813502

18/06/2020

42.889501

42.791081

17/06/2020

42.894959

42.796527

16/06/2020

42.893790

42.795360

15/06/2020

42.535125

42.437518

12/06/2020

42.674558

42.576632

11/06/2020

42.686456

42.588502

10/06/2020

43.078062

42.979210

09/06/2020

43.183405

43.084311

05/06/2020

42.975454

42.876837

04/06/2020

42.832214

42.733926