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

02/06/2022

66.832781

66.699382

01/06/2022

66.749568

66.616335

31/05/2022

66.982296

66.848599

30/05/2022

67.258769

67.124520

27/05/2022

67.097485

66.963558

26/05/2022

66.749894

66.616661

25/05/2022

66.448609

66.315977

24/05/2022

66.206238

66.074090

23/05/2022

66.415141

66.282576

20/05/2022

66.366214

66.233747

19/05/2022

66.080570

65.948673

18/05/2022

66.403274

66.270733

17/05/2022

66.855285

66.721841

16/05/2022

66.681523

66.548426

13/05/2022

66.809322

66.675970

12/05/2022

66.110418

65.978461

11/05/2022

65.960374

65.828717

10/05/2022

66.233744

66.101541

09/05/2022

66.062409

65.930548

06/05/2022

66.625974

66.492988

05/05/2022

67.208890

67.074741

04/05/2022

67.694647

67.559528

03/05/2022

67.560527

67.425676

02/05/2022

67.715427

67.580266

30/04/2022

67.771428

67.636156

29/04/2022

67.771428

67.636156

28/04/2022

68.167464

68.031401

27/04/2022

67.543451

67.408634

26/04/2022

67.490327

67.355616

22/04/2022

67.945899

67.810278