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

Balanced Option

Perpetual Select Super Plan

As of Date Entry Price Exit Price

30/09/2025

84.899284

84.729824

29/09/2025

85.075912

84.906100

26/09/2025

84.974007

84.804398

25/09/2025

84.785133

84.615901

24/09/2025

84.805477

84.636205

23/09/2025

85.028607

84.858889

22/09/2025

85.181865

85.011841

19/09/2025

85.052535

84.882769

18/09/2025

84.915807

84.746314

17/09/2025

84.554099

84.385328

16/09/2025

84.600971

84.432107

15/09/2025

84.587815

84.418977

12/09/2025

84.607915

84.439037

11/09/2025

84.540781

84.372037

10/09/2025

84.317269

84.148971

09/09/2025

84.582672

84.413844

08/09/2025

84.667939

84.498941

05/09/2025

84.695785

84.526732

04/09/2025

84.694638

84.525587

03/09/2025

84.045605

83.877849

02/09/2025

84.390576

84.222132

01/09/2025

84.646916

84.477960

31/08/2025

84.781123

84.611899

29/08/2025

84.781123

84.611899

28/08/2025

84.949973

84.780412

27/08/2025

85.088096

84.918259

26/08/2025

84.969053

84.799454

25/08/2025

85.052695

84.882929

22/08/2025

85.124590

84.954681

21/08/2025

85.119544

84.949645