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

30/06/2025

54.453639

54.355799

27/06/2025

54.432628

54.334825

26/06/2025

54.354218

54.256556

25/06/2025

54.338167

54.240534

24/06/2025

54.321921

54.224317

23/06/2025

54.204978

54.107584

20/06/2025

54.100714

54.003508

19/06/2025

54.106384

54.009167

18/06/2025

54.038082

53.940988

17/06/2025

54.074382

53.977223

16/06/2025

54.096135

53.998937

13/06/2025

54.106017

54.008801

12/06/2025

54.267135

54.169630

11/06/2025

54.218310

54.120892

10/06/2025

54.188006

54.090643

06/06/2025

54.090036

53.992849

05/06/2025

54.023081

53.926014

04/06/2025

54.079262

53.982094

03/06/2025

53.972989

53.876012

02/06/2025

53.854540

53.757776

30/05/2025

53.989649

53.892642

29/05/2025

53.901081

53.804233

28/05/2025

53.874496

53.777696

27/05/2025

53.918786

53.821907

26/05/2025

53.542741

53.446537

23/05/2025

53.529611

53.433431

22/05/2025

53.602994

53.506682

21/05/2025

53.606951

53.510632

20/05/2025

53.878715

53.781908

19/05/2025

53.677329

53.580883