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

12/12/2019

61.142335

60.983777

11/12/2019

61.259758

61.100896

10/12/2019

61.299928

61.140962

09/12/2019

61.319494

61.160477

06/12/2019

61.344256

61.185174

05/12/2019

61.203905

61.045187

04/12/2019

60.976907

60.818778

03/12/2019

61.080651

60.922253

02/12/2019

61.407250

61.248005

30/11/2019

61.705198

61.545181

29/11/2019

61.705198

61.545181

28/11/2019

61.800280

61.640016

27/11/2019

61.751244

61.591108

26/11/2019

61.543034

61.383437

25/11/2019

61.430643

61.271338

22/11/2019

61.209536

61.050804

21/11/2019

61.098516

60.940072

20/11/2019

61.230584

61.071798

19/11/2019

61.394668

61.235456

18/11/2019

61.292243

61.133296

15/11/2019

61.336144

61.177083

14/11/2019

61.219798

61.061039

13/11/2019

60.951424

60.793361

12/11/2019

61.030305

60.872038

11/11/2019

61.014995

60.856768

08/11/2019

60.906406

60.748460

07/11/2019

60.892134

60.734225

06/11/2019

60.714603

60.557155

05/11/2019

60.783021

60.625395

04/11/2019

60.806300

60.648614