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

01/11/2019

43.644434

43.574715

31/10/2019

43.601777

43.532125

30/10/2019

43.600554

43.530905

29/10/2019

43.621557

43.551874

28/10/2019

43.663575

43.593825

25/10/2019

43.667576

43.597820

24/10/2019

43.635439

43.565734

23/10/2019

43.573650

43.504043

22/10/2019

43.529139

43.459603

21/10/2019

43.531596

43.462057

18/10/2019

43.503054

43.433560

17/10/2019

43.575038

43.505430

16/10/2019

43.672883

43.603118

15/10/2019

43.590673

43.521039

14/10/2019

43.515350

43.445837

11/10/2019

43.462566

43.393137

10/10/2019

43.409137

43.339793

09/10/2019

43.428925

43.359549

08/10/2019

43.428072

43.358698

04/10/2019

43.450362

43.380953

03/10/2019

43.380777

43.311478

02/10/2019

43.458961

43.389538

01/10/2019

43.616717

43.547042

30/09/2019

43.564035

43.494444

27/09/2019

43.545465

43.475903

26/09/2019

43.562699

43.493110

25/09/2019

43.569961

43.500361

24/09/2019

43.562654

43.493065

23/09/2019

43.613035

43.543366

20/09/2019

43.581604

43.511984