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

14/05/2015

36.405051

36.346896

13/05/2015

36.382227

36.324108

12/05/2015

36.360701

36.302617

11/05/2015

36.412188

36.354021

08/05/2015

36.427573

36.369382

07/05/2015

36.316949

36.258935

06/05/2015

36.353417

36.295344

05/05/2015

36.559947

36.501544

04/05/2015

36.671694

36.613113

01/05/2015

36.619427

36.560929

30/04/2015

36.543653

36.485276

29/04/2015

36.569872

36.511453

28/04/2015

36.728357

36.669685

27/04/2015

36.848121

36.789258

24/04/2015

36.802185

36.743395

23/04/2015

36.726739

36.668070

22/04/2015

36.729269

36.670596

21/04/2015

36.755513

36.696798

20/04/2015

36.706694

36.648057

17/04/2015

36.720570

36.661911

16/04/2015

36.832736

36.773897

15/04/2015

36.907814

36.848855

14/04/2015

36.919224

36.860247

13/04/2015

36.957692

36.898654

10/04/2015

36.914471

36.855502

09/04/2015

36.860019

36.801137

08/04/2015

36.885095

36.826173

07/04/2015

36.841658

36.782805

02/04/2015

36.846943

36.788083

01/04/2015

36.743636

36.684940