Investment option
Australian Shares Index
Balanced
Balanced Index
Balanced Risk-Adjusted
Bonds Index
Cash
Conservative
Conservative-Balanced
High Growth
High Growth Index
International Shares Hedged Index
International Shares Unhedged Index
Lifecycle Investment Strategy - Balanced Pool
Lifecycle Investment Strategy - Cash Pool
Lifecycle Investment Strategy - High Growth Pool
Listed Property Index
Socially Conscious Balanced
Unlisted Assets
From (DD/MM/YYYY)
Please enter a valid from date in DD/MM/YYYY format.
To (DD/MM/YYYY)
Please enter a valid to date in DD/MM/YYYY format.
Update
International Shares Hedged Index
From 13 Feb 2020 to 13 Feb 2025
Effective date
Entry unit price
Exit unit price
03 Feb 2025
$7.24596
$7.24596
02 Feb 2025
$7.31670
$7.31670
01 Feb 2025
$7.31670
$7.31670
31 Jan 2025
$7.31670
$7.31670
30 Jan 2025
$7.34139
$7.34139
29 Jan 2025
$7.29869
$7.29869
28 Jan 2025
$7.30956
$7.30956
27 Jan 2025
$7.33295
$7.33295
26 Jan 2025
$7.33295
$7.33295
25 Jan 2025
$7.33295
$7.33295
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