What can we help you find?
Search by Topic

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

07/01/2019

40.375105

40.310608

04/01/2019

40.276993

40.212652

03/01/2019

40.251877

40.187577

02/01/2019

40.242775

40.178490

31/12/2018

40.281169

40.216822

28/12/2018

40.247197

40.182904

27/12/2018

40.158838

40.094686

24/12/2018

39.907148

39.843399

21/12/2018

39.942571

39.878765

20/12/2018

40.072245

40.008232

19/12/2018

40.150595

40.086457

18/12/2018

40.188755

40.124556

17/12/2018

40.237829

40.173552

14/12/2018

40.276197

40.211858

13/12/2018

40.345568

40.281118

12/12/2018

40.345365

40.280915

11/12/2018

40.241223

40.176940

10/12/2018

40.255873

40.191567

07/12/2018

40.388385

40.323866

06/12/2018

40.440498

40.375897

05/12/2018

40.412832

40.348275

04/12/2018

40.408083

40.343534

03/12/2018

40.561583

40.496789

30/11/2018

40.435684

40.371090

29/11/2018

40.487092

40.422416

28/11/2018

40.522446

40.457714

27/11/2018

40.423643

40.359069

26/11/2018

40.382022

40.317514

23/11/2018

40.338583

40.274144

22/11/2018

40.316747

40.252343