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Unit Prices

Conservative

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

09/08/2017

39.087274

39.024834

08/08/2017

39.073526

39.011108

04/08/2017

39.056479

38.994088

03/08/2017

39.033385

38.971031

02/08/2017

39.014735

38.952411

01/08/2017

39.012768

38.950447

31/07/2017

38.960037

38.897801

28/07/2017

38.926042

38.863860

27/07/2017

39.014679

38.952355

26/07/2017

39.029100

38.966753

25/07/2017

38.972607

38.910351

24/07/2017

38.944836

38.882623

21/07/2017

38.978452

38.916186

20/07/2017

38.948982

38.886763

19/07/2017

38.962633

38.900392

18/07/2017

38.905673

38.843523

17/07/2017

39.039884

38.977520

14/07/2017

39.054986

38.992598

13/07/2017

39.059804

38.997408

12/07/2017

39.016427

38.954101

11/07/2017

39.044185

38.981814

10/07/2017

39.071792

39.009377

07/07/2017

39.035520

38.973163

06/07/2017

39.096530

39.034076

05/07/2017

39.139332

39.076809

04/07/2017

39.131837

39.069326

03/07/2017

39.006492

38.944181

01/07/2017

38.999080

38.936781

30/06/2017

38.999080

38.936781

29/06/2017

39.099048

39.036590