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

10/03/2020

43.067323

42.998525

09/03/2020

42.809682

42.741296

06/03/2020

43.671521

43.601758

05/03/2020

43.945611

43.875410

04/03/2020

44.005549

43.935252

03/03/2020

43.904164

43.834029

02/03/2020

43.965733

43.895501

29/02/2020

43.925961

43.855792

28/02/2020

43.925961

43.855792

27/02/2020

44.056913

43.986534

26/02/2020

44.321174

44.250374

25/02/2020

44.438880

44.367891

24/02/2020

44.648711

44.577387

21/02/2020

44.924423

44.852658

20/02/2020

44.967333

44.895500

19/02/2020

44.910129

44.838388

18/02/2020

44.831586

44.759970

17/02/2020

44.833845

44.762225

14/02/2020

44.832260

44.760643

13/02/2020

44.788936

44.717389

12/02/2020

44.759835

44.688333

11/02/2020

44.715548

44.644118

10/02/2020

44.692581

44.621187

07/02/2020

44.658940

44.587600

06/02/2020

44.638576

44.567269

05/02/2020

44.584213

44.512992

04/02/2020

44.557611

44.486432

03/02/2020

44.508481

44.437381

31/01/2020

44.553997

44.482824

30/01/2020

44.587547

44.516320