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

02/04/2019

35.659090

35.602126

01/04/2019

35.605116

35.548239

31/03/2019

35.550800

35.494010

29/03/2019

35.550800

35.494010

28/03/2019

35.546978

35.490193

27/03/2019

35.516040

35.459305

26/03/2019

35.463323

35.406672

25/03/2019

35.444078

35.387458

22/03/2019

35.507226

35.450505

21/03/2019

35.548208

35.491422

20/03/2019

35.514803

35.458071

19/03/2019

35.528039

35.471285

18/03/2019

35.519506

35.462766

15/03/2019

35.497009

35.440304

14/03/2019

35.485869

35.429182

13/03/2019

35.447256

35.390631

12/03/2019

35.418387

35.361808

11/03/2019

35.404153

35.347596

08/03/2019

35.356203

35.299723

07/03/2019

35.410268

35.353702

06/03/2019

35.444185

35.387565

05/03/2019

35.392351

35.335813

04/03/2019

35.376371

35.319859

01/03/2019

35.367158

35.310661

28/02/2019

35.314356

35.257943

27/02/2019

35.300138

35.243748

26/02/2019

35.264717

35.208384

25/02/2019

35.285528

35.229162

22/02/2019

35.289771

35.233398

21/02/2019

35.270485

35.214142