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

29/01/2024

41.824720

41.749571

25/01/2024

41.696836

41.621917

24/01/2024

41.605956

41.531200

23/01/2024

41.675216

41.600335

22/01/2024

41.626880

41.552086

19/01/2024

41.508677

41.434096

18/01/2024

41.425661

41.351229

17/01/2024

41.468844

41.394334

16/01/2024

41.538652

41.464017

15/01/2024

41.646605

41.571776

12/01/2024

41.604104

41.529351

11/01/2024

41.609036

41.534274

10/01/2024

41.503064

41.428493

09/01/2024

41.516903

41.442307

08/01/2024

41.440567

41.366108

05/01/2024

41.326847

41.252592

04/01/2024

41.407377

41.332978

03/01/2024

41.434417

41.359969

02/01/2024

41.602690

41.527940

31/12/2023

41.618366

41.543588

29/12/2023

41.618366

41.543588

28/12/2023

41.649525

41.574691

27/12/2023

41.582973

41.508258

22/12/2023

41.445352

41.370884

21/12/2023

41.457477

41.382988

20/12/2023

41.429502

41.355063

19/12/2023

41.427401

41.352966

18/12/2023

41.418222

41.343803

15/12/2023

41.361904

41.287586

14/12/2023

41.378866

41.304518