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

03/06/2020

59.132012

58.966905

02/06/2020

58.718887

58.554933

01/06/2020

58.657706

58.493923

31/05/2020

58.785619

58.621479

29/05/2020

58.785619

58.621479

28/05/2020

58.833841

58.669566

27/05/2020

58.929540

58.764998

26/05/2020

58.543161

58.379698

25/05/2020

58.173629

58.011198

22/05/2020

57.886942

57.725311

21/05/2020

57.889487

57.727849

20/05/2020

57.943106

57.781318

19/05/2020

57.675727

57.514686

18/05/2020

57.646194

57.485235

15/05/2020

57.242799

57.082966

14/05/2020

57.074382

56.915020

13/05/2020

57.145816

56.986255

12/05/2020

57.334390

57.174302

11/05/2020

57.877519

57.715914

08/05/2020

57.627650

57.466743

07/05/2020

57.461721

57.301278

06/05/2020

57.314524

57.154492

05/05/2020

57.439365

57.278984

04/05/2020

57.183619

57.023952

01/05/2020

56.994261

56.835123

30/04/2020

57.724652

57.563474

29/04/2020

57.531708

57.371069

28/04/2020

57.012579

56.853389

27/04/2020

57.046608

56.887324

24/04/2020

56.761527

56.603039