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

09/08/2019

43.191049

43.122054

08/08/2019

43.218066

43.149028

07/08/2019

43.127125

43.058232

06/08/2019

43.010705

42.941998

02/08/2019

43.294154

43.224994

01/08/2019

43.282367

43.213226

31/07/2019

43.288954

43.219802

30/07/2019

43.357010

43.287750

29/07/2019

43.346375

43.277131

26/07/2019

43.331460

43.262241

25/07/2019

43.291792

43.222636

24/07/2019

43.280315

43.211177

23/07/2019

43.156055

43.087115

22/07/2019

43.057849

42.989066

19/07/2019

43.055860

42.987081

18/07/2019

43.045810

42.977047

17/07/2019

43.068663

42.999864

16/07/2019

43.048606

42.979838

15/07/2019

43.040917

42.972161

12/07/2019

43.082655

43.013833

11/07/2019

43.131141

43.062241

10/07/2019

43.130972

43.062073

09/07/2019

43.113195

43.044325

08/07/2019

43.094368

43.025528

05/07/2019

43.199496

43.130487

04/07/2019

43.159130

43.090186

03/07/2019

43.107621

43.038759

02/07/2019

43.038600

42.969849

01/07/2019

43.017105

42.948388

30/06/2019

42.850078

42.781627