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Unit Prices

Conservative

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

27/01/2022

47.211500

47.103163

25/01/2022

47.355031

47.246364

24/01/2022

47.672536

47.563141

21/01/2022

47.620712

47.511436

20/01/2022

47.787086

47.677428

19/01/2022

47.916533

47.806578

18/01/2022

48.094186

47.983823

17/01/2022

48.263186

48.152435

14/01/2022

48.231045

48.120368

13/01/2022

48.218242

48.107595

12/01/2022

48.316496

48.205623

11/01/2022

48.323858

48.212968

10/01/2022

48.303377

48.192534

07/01/2022

48.371012

48.260014

06/01/2022

48.347218

48.236275

05/01/2022

48.434038

48.322895

04/01/2022

48.665053

48.553380

31/12/2021

48.496208

48.384923

30/12/2021

48.604407

48.492873

29/12/2021

48.589768

48.478268

24/12/2021

48.407685

48.296603

23/12/2021

48.359086

48.248115

22/12/2021

48.337192

48.226272

21/12/2021

48.318441

48.207564

20/12/2021

48.145441

48.034961

17/12/2021

48.234413

48.123728

16/12/2021

48.232819

48.122138

15/12/2021

48.334574

48.223660

14/12/2021

48.363406

48.252425

13/12/2021

48.417960

48.306854

Preproduction: 20241119.2 - 17.0.1+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8