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

23/04/2020

41.649025

41.491357

22/04/2020

41.685662

41.527856

21/04/2020

41.614772

41.457234

20/04/2020

41.845326

41.686916

17/04/2020

42.061739

41.902509

16/04/2020

41.862362

41.703887

15/04/2020

41.881985

41.723436

14/04/2020

41.930154

41.771423

09/04/2020

41.823497

41.665170

08/04/2020

41.569789

41.412421

07/04/2020

41.454197

41.297268

06/04/2020

41.468112

41.311130

03/04/2020

41.051629

40.896224

02/04/2020

41.199755

41.043789

01/04/2020

41.183846

41.027940

31/03/2020

41.255454

41.099277

30/03/2020

41.222554

41.066502

27/03/2020

40.918360

40.763458

26/03/2020

41.295146

41.138819

25/03/2020

40.828201

40.673641

24/03/2020

40.341689

40.188971

23/03/2020

39.958482

39.807214

20/03/2020

40.515529

40.362152

19/03/2020

40.341725

40.277281

18/03/2020

40.701078

40.636060

17/03/2020

41.384554

41.318445

16/03/2020

41.131414

41.065709

13/03/2020

42.182128

42.114744

12/03/2020

41.778885

41.712145

11/03/2020

42.676812

42.608638