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Super Fund Unit Prices 10/11 Financial Year

 

Effective Date

Cash $ 

Defensive $

Balanced $ 

 High Growth $

Australian Shares $ 

International Shares $ 

Diversified Fixed Interest $

 30/6/10*

 1.1789

 1.5444

 2.5084

 1.7300

 1.0753

 0.8079

 1.2753

 7/7/10

 1.1792

 1.5398

 2.4871

 1.7124

 1.0614

 0.8039

 1.2756

 14/7/10

 1.1801

 1.5492

 2.5291

 1.7508

 1.0964

 0.8165

 1.2752

 21/7/10

 1.1810

1.5525 

2.5347 

1.7547 

1.1026 

0.8168 

1.2786 

 28/7/10

 1.1819

 1.5545

 2.5458

 1.7647

 1.1109

 0.8174

 1.2783

 4/8/10

 1.1835

 1.5673

 2.5745

 1.7886

 1.1214

 0.8276

 1.2846

 11/8/10

 1.1844

 1.5744

 2.5972

 1.8084

 1.1381

 0.8376

 1.2880

 18/8/10

 1.1853

 1.5703

 2.5698

 1.7811

 1.1155

 0.8211

 1.2928

 25/8/10

 1.1862

 1.5743

 2.5712

 1.7801

 1.1123

 0.8222

 1.2996

 1/9/10

 1.1875

 1.5713

 2.5490

 1.7641

 1.1007

 0.8143

 1.3068

* The 30/06/10 Unit price is a special price used only for Annual Member Statements.