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Pension Fund Unit Prices 10/11 Financial Year

 

Effective Date 

Cash $ 

Defensive $ 

Balanced Growth $ 

High Growth $

Australian Shares $

International Shares $ 

Diversified Fixed Interest $ 

30/6/10*

 1.2171

1.6277 

1.7392 

1.8273 

1.0615 

0.7831 

1.3249 

 7/7/10

 1.2175

1.6220 

 1.7227

1.8065 

 1.0462

 0.7789

 1.3252

 14/7/10

 1.2186

 1.6334

 1.7555

 1.8517

 1.0847

 0.7924

 1.3248

 21/7/10

 1.2170

 1.6374

 1.7600

 1.8564

 1.0916

 0.7928

 1.3289

 28/7/10

 1.2208

 1.6399

 1.7687

 1.8684

 1.1007

 0.7935

 1.3286

 4/8/10

 1.2228

 1.6555

 1.7912

 1.8967

 1.1124

 0.8046

 1.3363

 11/8/10

 1.2239

 1.6641

 1.8090

 1.9201

 1.1309

 0.8154

 1.3405

 18/8/10

 1.2250

 1.6592

 1.7876

 1.8879

 1.1059

 0.7975

 1.3464

 25/08/10

 1.2261

 1.6639

 1.7887

 1.8867

 1.1023

 0.7988

 1.3547

 1/9/10

 1.2277

 1.6603

 1.7713

 1.8678

 1.0895

 0.7902

 1.3635

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