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

21/04/2022

68.230555

68.094366

20/04/2022

68.179809

68.043722

19/04/2022

68.320592

68.184224

14/04/2022

68.019458

67.883691

13/04/2022

68.086523

67.950622

12/04/2022

67.530177

67.395386

11/04/2022

67.961456

67.825804

08/04/2022

68.156284

68.020244

07/04/2022

67.995348

67.859629

06/04/2022

67.812239

67.676885

05/04/2022

67.889011

67.753504

04/04/2022

68.343742

68.207327

01/04/2022

68.352537

68.216105

31/03/2022

68.183277

68.047183

30/03/2022

68.540973

68.404165

29/03/2022

68.632836

68.495844

28/03/2022

68.070446

67.934577

25/03/2022

67.973623

67.837947

24/03/2022

67.893125

67.757610

23/03/2022

67.713035

67.577879

22/03/2022

68.167559

68.031496

21/03/2022

67.981946

67.846253

18/03/2022

68.233288

68.097094

17/03/2022

67.991471

67.855759

16/03/2022

67.966052

67.830391

15/03/2022

67.267801

67.133534

14/03/2022

67.026482

66.892697

11/03/2022

66.597462

66.464533

10/03/2022

66.909005

66.775454

09/03/2022

66.917166

66.783599