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

Conservative

Perpetual Select Account Based Pension Plan

As of Date Entry Price Exit Price

28/02/2025

53.814338

53.717646

27/02/2025

53.703576

53.607083

26/02/2025

53.682631

53.586176

25/02/2025

53.576327

53.480063

24/02/2025

53.560509

53.464273

21/02/2025

53.554459

53.458234

20/02/2025

53.559230

53.462997

19/02/2025

53.747220

53.650649

18/02/2025

53.821653

53.724948

17/02/2025

53.858331

53.761560

14/02/2025

53.821988

53.725282

13/02/2025

53.857721

53.760951

12/02/2025

53.695926

53.599447

11/02/2025

53.782860

53.686225

10/02/2025

53.814725

53.718033

07/02/2025

53.837619

53.740885

06/02/2025

53.943416

53.846492

05/02/2025

53.815618

53.718924

04/02/2025

53.714314

53.617802

03/02/2025

53.757649

53.661059

31/01/2025

53.862392

53.765614

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