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Unit Prices

Conservative

Perpetual Select Account Based Pension Plan

As of Date Entry Price Exit Price

30/01/2025

53.881669

53.784856

29/01/2025

53.738733

53.642177

28/01/2025

53.648617

53.552223

24/01/2025

53.390966

53.295035

23/01/2025

53.436239

53.340227

22/01/2025

53.462566

53.366506

21/01/2025

53.447199

53.351167

20/01/2025

53.245161

53.149492

17/01/2025

53.243454

53.147788

16/01/2025

53.199564

53.103977

15/01/2025

52.955309

52.860161

14/01/2025

52.774222

52.679399

13/01/2025

52.777487

52.682658

10/01/2025

52.980521

52.885327

09/01/2025

53.163679

53.068156

08/01/2025

53.129512

53.034051

07/01/2025

53.068285

52.972934

06/01/2025

53.122642

53.027193

03/01/2025

53.201324

53.105734

02/01/2025

53.075499

52.980135

31/12/2024

53.110975

53.015547

30/12/2024

53.085193

52.989811

27/12/2024

53.191614

53.096041

24/12/2024

53.168271

53.072740

23/12/2024

53.065223

52.969877

20/12/2024

52.889503

52.794473

19/12/2024

52.863409

52.768426

18/12/2024

53.087462

52.992076

17/12/2024

53.298582

53.202817

16/12/2024

53.220079

53.124455