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 Super Plan

As of Date Entry Price Exit Price

06/01/2023

39.000148

38.930074

05/01/2023

38.944588

38.874614

04/01/2023

38.870165

38.800324

03/01/2023

38.800377

38.730662

31/12/2022

38.723342

38.653765

30/12/2022

38.723342

38.653765

29/12/2022

38.776968

38.707295

28/12/2022

38.667983

38.598506

23/12/2022

38.886489

38.816619

22/12/2022

38.940947

38.870979

21/12/2022

38.949441

38.879458

20/12/2022

38.841055

38.771267

19/12/2022

38.918548

38.848620

16/12/2022

39.051795

38.981628

15/12/2022

39.114142

39.043863

14/12/2022

39.184010

39.113606

13/12/2022

39.121903

39.051610

12/12/2022

39.171581

39.101199

09/12/2022

39.100097

39.029843

08/12/2022

39.119081

39.048793

07/12/2022

39.124532

39.054234

06/12/2022

39.222234

39.151761

05/12/2022

39.278833

39.208258

02/12/2022

39.315129

39.244489

01/12/2022

39.308319

39.237691

30/11/2022

39.289497

39.218903

29/11/2022

39.069286

38.999088

28/11/2022

39.066440

38.996247

25/11/2022

39.094669

39.024425

24/11/2022

39.054767

38.984595