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

09/08/2023

72.186791

72.042706

08/08/2023

72.329306

72.184936

04/08/2023

71.915521

71.771977

03/08/2023

71.916090

71.772545

02/08/2023

72.127447

71.983480

01/08/2023

72.343392

72.198994

31/07/2023

71.859038

71.715607

28/07/2023

72.067535

71.923688

27/07/2023

71.767649

71.624400

26/07/2023

71.664205

71.521163

25/07/2023

71.353354

71.210932

24/07/2023

71.412492

71.269952

21/07/2023

71.474728

71.332064

20/07/2023

71.291352

71.149054

19/07/2023

71.705834

71.562709

18/07/2023

71.248560

71.106347

17/07/2023

71.154817

71.012791

14/07/2023

70.956334

70.814705

13/07/2023

70.689142

70.548046

12/07/2023

70.468969

70.328312

11/07/2023

70.727583

70.586410

10/07/2023

70.245734

70.105523

07/07/2023

70.034774

69.894984

06/07/2023

70.536419

70.395628

05/07/2023

70.929539

70.787963

04/07/2023

70.959549

70.817913

03/07/2023

70.964092

70.822447

01/07/2023

70.964092

70.822447

30/06/2023

70.874395

70.732929

29/06/2023

70.689066

70.547970