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Unit Prices

Conservative

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

24/11/2022

46.067099

45.984327

23/11/2022

46.060182

45.977423

22/11/2022

46.083123

46.000322

21/11/2022

46.000124

45.917473

18/11/2022

45.905662

45.823180

17/11/2022

45.901130

45.818656

16/11/2022

45.784961

45.702696

15/11/2022

45.814911

45.732592

14/11/2022

45.748029

45.665831

11/11/2022

45.873711

45.791287

10/11/2022

45.689679

45.607585

09/11/2022

45.411105

45.329512

08/11/2022

45.301627

45.220231

07/11/2022

45.321523

45.240091

04/11/2022

45.261370

45.180046

03/11/2022

45.324313

45.242876

02/11/2022

45.388317

45.306765

01/11/2022

45.583570

45.501667

31/10/2022

45.465071

45.383381

28/10/2022

45.460830

45.379148

27/10/2022

45.219675

45.138426

26/10/2022

45.159980

45.078838

25/10/2022

45.171312

45.090150

24/10/2022

45.047558

44.966618

21/10/2022

44.818062

44.737534

20/10/2022

44.787363

44.706891

19/10/2022

45.060508

44.979545

18/10/2022

45.177726

45.096552

17/10/2022

44.942194

44.861443

14/10/2022

44.867747

44.787130

Preproduction: 20241119.2 - 17.0.1+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8