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Unit Prices

Conservative

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

11/10/2016

37.739962

37.679675

10/10/2016

37.772011

37.711672

07/10/2016

37.777311

37.716964

06/10/2016

37.848684

37.788223

05/10/2016

37.818128

37.757716

04/10/2016

37.835580

37.775140

30/09/2016

37.838075

37.777631

29/09/2016

37.795546

37.735169

28/09/2016

37.788762

37.728397

27/09/2016

37.734509

37.674230

26/09/2016

37.759918

37.699598

23/09/2016

37.809779

37.749380

22/09/2016

37.756973

37.696659

21/09/2016

37.706187

37.645953

20/09/2016

37.644870

37.584734

19/09/2016

37.648466

37.588324

16/09/2016

37.691395

37.631185

15/09/2016

37.651679

37.591532

14/09/2016

37.642471

37.582340

13/09/2016

37.633768

37.573651

12/09/2016

37.694887

37.634672

09/09/2016

37.792463

37.732092

08/09/2016

37.919459

37.858884

07/09/2016

37.969101

37.908448

06/09/2016

37.925126

37.864542

05/09/2016

37.983479

37.922802

02/09/2016

37.971800

37.911143

01/09/2016

37.984846

37.924167

31/08/2016

38.011642

37.950921

30/08/2016

38.040877

37.980109