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

21/11/2018

54.660260

54.518512

20/11/2018

54.650589

54.508866

19/11/2018

54.867695

54.725409

16/11/2018

55.045615

54.902867

15/11/2018

55.191909

55.048782

14/11/2018

55.157934

55.014895

13/11/2018

55.426429

55.282694

12/11/2018

55.563306

55.419217

09/11/2018

55.620406

55.476168

08/11/2018

55.698827

55.554385

07/11/2018

55.652294

55.507973

06/11/2018

55.433729

55.289975

05/11/2018

55.261960

55.118652

02/11/2018

55.370269

55.226679

01/11/2018

55.367308

55.223726

31/10/2018

55.417971

55.274258

30/10/2018

55.153074

55.010048

29/10/2018

54.968808

54.826260

26/10/2018

54.886834

54.744498

25/10/2018

55.063122

54.920329

24/10/2018

55.172928

55.029851

23/10/2018

55.536053

55.392034

22/10/2018

55.768852

55.624229

19/10/2018

55.760507

55.615906

18/10/2018

55.798301

55.653602

17/10/2018

56.038154

55.892833

16/10/2018

55.916797

55.771791

15/10/2018

55.518867

55.374892

12/10/2018

55.788792

55.644117

11/10/2018

55.585051

55.440904