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

06/06/2018

40.615974

40.551093

05/06/2018

40.609445

40.544573

04/06/2018

40.596557

40.531706

01/06/2018

40.588328

40.523490

31/05/2018

40.570294

40.505485

30/05/2018

40.551104

40.486326

29/05/2018

40.562240

40.497444

28/05/2018

40.572114

40.507302

25/05/2018

40.575217

40.510400

24/05/2018

40.585378

40.520545

23/05/2018

40.593279

40.528434

22/05/2018

40.543263

40.478497

21/05/2018

40.591302

40.526460

18/05/2018

40.605852

40.540986

17/05/2018

40.617259

40.552375

16/05/2018

40.642529

40.577605

15/05/2018

40.675568

40.610591

14/05/2018

40.714824

40.649784

11/05/2018

40.701463

40.636445

10/05/2018

40.702751

40.637731

09/05/2018

40.671292

40.606322

08/05/2018

40.632483

40.567575

07/05/2018

40.576056

40.511238

04/05/2018

40.523499

40.458765

03/05/2018

40.521214

40.456483

02/05/2018

40.520575

40.455845

01/05/2018

40.542511

40.477747

30/04/2018

40.460638

40.396005

27/04/2018

40.409119

40.344568

26/04/2018

40.339235

40.274795