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

17/02/2026

84.728844

84.559725

16/02/2026

84.560340

84.391557

13/02/2026

84.473119

84.304510

12/02/2026

84.431068

84.262543

11/02/2026

84.968808

84.799210

10/02/2026

84.844924

84.675573

09/02/2026

84.704093

84.535023

06/02/2026

84.311873

84.143586

05/02/2026

84.690945

84.521901

04/02/2026

84.933736

84.764208

03/02/2026

84.865833

84.696440

02/02/2026

85.151830

84.981866

31/01/2026

85.018143

84.848446

30/01/2026

85.018143

84.848446

29/01/2026

85.535554

85.364824

28/01/2026

85.543807

85.373061

27/01/2026

85.812785

85.641502

23/01/2026

85.801862

85.630601

22/01/2026

85.993033

85.821390

21/01/2026

85.856978

85.685607

20/01/2026

85.818503

85.647209

19/01/2026

86.565062

86.392277

16/01/2026

86.938579

86.765049

15/01/2026

86.729313

86.556201

14/01/2026

86.693464

86.520423

13/01/2026

86.645031

86.472087

12/01/2026

86.479616

86.307002

09/01/2026

86.539938

86.367204

08/01/2026

86.355611

86.183245

07/01/2026

86.105072

85.933206