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 Super Plan

As of Date Entry Price Exit Price

19/01/2026

46.566508

46.482839

16/01/2026

46.666587

46.582738

15/01/2026

46.635325

46.551532

14/01/2026

46.625269

46.541494

13/01/2026

46.603720

46.519984

12/01/2026

46.558622

46.474967

09/01/2026

46.577842

46.494153

08/01/2026

46.528835

46.445234

07/01/2026

46.450907

46.367446

06/01/2026

46.412652

46.329259

05/01/2026

46.380679

46.297344

02/01/2026

46.284783

46.201620

31/12/2025

46.311216

46.228006

30/12/2025

46.313774

46.230559

29/12/2025

46.322963

46.239731

24/12/2025

46.305343

46.222143

23/12/2025

46.301684

46.218491

22/12/2025

46.228866

46.145804

19/12/2025

46.213921

46.130885

18/12/2025

46.157876

46.074941

17/12/2025

46.088781

46.005970

16/12/2025

46.087387

46.004579

15/12/2025

46.138771

46.055870

12/12/2025

46.163625

46.080680

11/12/2025

46.135883

46.052988

10/12/2025

46.080075

45.997280

09/12/2025

46.040389

45.957665

08/12/2025

46.152360

46.069435

05/12/2025

46.186581

46.103595

04/12/2025

46.201027

46.118015