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

17/07/2018

41.109280

41.043610

16/07/2018

41.105981

41.040316

13/07/2018

41.140246

41.074527

12/07/2018

41.132159

41.066453

11/07/2018

41.060844

40.995252

10/07/2018

41.084592

41.018961

09/07/2018

41.093049

41.027406

06/07/2018

41.071307

41.005698

05/07/2018

41.012372

40.946857

04/07/2018

40.958006

40.892578

03/07/2018

40.978670

40.913209

02/07/2018

40.986936

40.921462

01/07/2018

40.986936

40.921462

30/06/2018

40.928375

40.862994

29/06/2018

40.928375

40.862994

28/06/2018

40.934932

40.869541

27/06/2018

40.868343

40.803058

26/06/2018

40.913961

40.848603

25/06/2018

40.906056

40.840711

22/06/2018

40.988362

40.922885

21/06/2018

40.990451

40.924971

20/06/2018

40.972448

40.906997

19/06/2018

40.909689

40.844338

18/06/2018

40.916419

40.851058

15/06/2018

40.877494

40.812195

14/06/2018

40.760046

40.694934

13/06/2018

40.674261

40.609286

12/06/2018

40.698003

40.632990

08/06/2018

40.670394

40.605426

07/06/2018

40.634480

40.569569