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

03/06/2020

42.824023

42.725753

02/06/2020

42.654213

42.556333

01/06/2020

42.627084

42.529266

31/05/2020

42.673293

42.575369

29/05/2020

42.673293

42.575369

28/05/2020

42.699899

42.584920

27/05/2020

42.705804

42.590809

26/05/2020

42.533705

42.419174

25/05/2020

42.372675

42.258576

22/05/2020

42.258975

42.145183

21/05/2020

42.251979

42.138205

20/05/2020

42.245559

42.131803

19/05/2020

42.117782

42.004370

18/05/2020

42.080684

41.967373

15/05/2020

41.913647

41.800785

14/05/2020

41.842230

41.729560

13/05/2020

41.880429

41.767656

12/05/2020

41.983744

41.870693

11/05/2020

42.176932

42.063361

08/05/2020

42.085975

41.972649

07/05/2020

42.005384

41.892275

06/05/2020

41.939074

41.826144

05/05/2020

41.986562

41.873503

04/05/2020

41.878807

41.766038

01/05/2020

41.836028

41.723374

30/04/2020

42.096966

41.983610

29/04/2020

42.002131

41.889031

28/04/2020

41.795049

41.682506

27/04/2020

41.786437

41.673917

24/04/2020

41.672989

41.560775