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

Balanced Option

Perpetual Select Super Plan

As of Date Entry Price Exit Price

12/10/2022

65.507582

65.376828

11/10/2022

65.537362

65.406549

10/10/2022

65.821155

65.689775

07/10/2022

65.759302

65.628046

06/10/2022

66.374343

66.241859

05/10/2022

66.546501

66.413674

04/10/2022

66.289899

66.157584

30/09/2022

64.702954

64.573806

29/09/2022

64.746430

64.617196

28/09/2022

64.821635

64.692250

27/09/2022

64.630392

64.501389

26/09/2022

64.594484

64.465553

23/09/2022

64.944418

64.814788

21/09/2022

65.726446

65.595255

20/09/2022

66.106929

65.974979

19/09/2022

66.256514

66.124265

16/09/2022

66.223124

66.090942

15/09/2022

66.621332

66.488355

14/09/2022

66.658546

66.525495

13/09/2022

67.056287

66.922442

12/09/2022

67.361721

67.227266

09/09/2022

67.138351

67.004342

08/09/2022

67.085980

66.952076

07/09/2022

66.665805

66.532740

06/09/2022

66.423220

66.290639

05/09/2022

66.382465

66.249965

02/09/2022

66.226406

66.094218

01/09/2022

66.484813

66.352109

31/08/2022

66.692191

66.559073

30/08/2022

66.732542

66.599343