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

31/03/2017

38.586384

38.524744

30/03/2017

38.588077

38.526434

29/03/2017

38.562295

38.500694

28/03/2017

38.536769

38.475208

27/03/2017

38.452863

38.391437

24/03/2017

38.439504

38.378099

23/03/2017

38.359031

38.297755

22/03/2017

38.300176

38.238994

21/03/2017

38.309660

38.248462

20/03/2017

38.354447

38.293178

17/03/2017

38.397328

38.335991

16/03/2017

38.397026

38.335689

15/03/2017

38.373542

38.312242

14/03/2017

38.328739

38.267511

13/03/2017

38.337857

38.276615

10/03/2017

38.356364

38.295092

09/03/2017

38.356668

38.295396

08/03/2017

38.342636

38.281386

07/03/2017

38.344893

38.283640

06/03/2017

38.360010

38.298732

03/03/2017

38.391994

38.330665

02/03/2017

38.409923

38.348565

01/03/2017

38.331335

38.270103

28/02/2017

38.263422

38.202298

27/02/2017

38.294146

38.232974

24/02/2017

38.286772

38.225611

23/02/2017

38.267300

38.206170

22/02/2017

38.278574

38.217426

21/02/2017

38.288329

38.227165

20/02/2017

38.257077

38.195963