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

16/05/2019

42.350781

42.283128

15/05/2019

42.234935

42.167467

14/05/2019

42.155220

42.087879

13/05/2019

42.144871

42.077547

10/05/2019

42.201837

42.134422

09/05/2019

42.177527

42.110151

08/05/2019

42.161390

42.094039

07/05/2019

42.176621

42.109246

06/05/2019

42.278337

42.210800

03/05/2019

42.326985

42.259370

02/05/2019

42.277895

42.210359

01/05/2019

42.288324

42.220771

30/04/2019

42.277766

42.210229

29/04/2019

42.275601

42.208068

26/04/2019

42.319383

42.251780

24/04/2019

42.296118

42.228552

23/04/2019

42.157197

42.089854

18/04/2019

42.019318

41.952194

17/04/2019

41.989797

41.922721

16/04/2019

42.031302

41.964159

15/04/2019

42.021862

41.954734

12/04/2019

42.042155

41.974995

11/04/2019

42.001871

41.934776

10/04/2019

42.004297

41.937197

09/04/2019

41.977006

41.909950

08/04/2019

42.015207

41.948090

05/04/2019

41.989449

41.922373

04/04/2019

41.997942

41.930853

03/04/2019

42.036249

41.969098

02/04/2019

42.031787

41.964644