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

10/10/2018

40.927847

40.862467

09/10/2018

41.130088

41.064385

08/10/2018

41.195266

41.129459

05/10/2018

41.304682

41.238700

04/10/2018

41.330628

41.264605

03/10/2018

41.377772

41.311673

02/10/2018

41.326895

41.260878

30/09/2018

41.373374

41.307282

28/09/2018

41.373374

41.307282

27/09/2018

41.374994

41.308900

26/09/2018

41.318899

41.252894

25/09/2018

41.307089

41.241103

24/09/2018

41.305117

41.239134

21/09/2018

41.327576

41.261557

20/09/2018

41.292308

41.226346

19/09/2018

41.273798

41.207865

18/09/2018

41.317697

41.251694

17/09/2018

41.342596

41.276553

14/09/2018

41.373867

41.307775

13/09/2018

41.334323

41.268294

12/09/2018

41.359980

41.293910

11/09/2018

41.370777

41.304690

10/09/2018

41.315453

41.249454

07/09/2018

41.290160

41.224201

06/09/2018

41.268774

41.202850

05/09/2018

41.340086

41.274048

04/09/2018

41.444205

41.378001

03/09/2018

41.467461

41.401219

31/08/2018

41.478110

41.411851

30/08/2018

41.454204

41.387983