Daily unit pricing

Although you are not issued units, we use unit prices to value your account. Each business day we calculate the value of your account using a daily unit price. This daily unit price reflects the value of the assets your investment option is invested in.

The value of your account depends on the number of units allocated to you and the unit price of the assets you’re invested in1. The unit price can move up and down in line with changes in the value of these assets. 

We recommend you read our explanation of how your account balance is calculated and the latest declared unit price in our Unit Pricing factsheet (PDF).

 

Latest declared unit price

This is the unit price used to calculate your account balance today. Unit prices are calculated and updated daily for each business day, excluding  non pricing days. In this case the unit price is calculated the following business day.

Options: Account-based pension 01/05/2024
High Growth 3.601688
Growth 3.155626
Balanced 1.094387
Conservative Balanced 2.502772
Indexed Defensive 1.055694
Capital Guarded 1.435391
Secure 1.082987
Australian Shares 3.488777
International Shares 5.192387
Property 2.416437
Bonds 1.662389
Cash 1.445986
Options: Pre-retirement pension 01/05/2024
High Growth 1.685093
Growth 1.587005
Balanced 1.129447
Conservative Balanced 1.366654
Indexed Defensive 1.000000
Secure 1.235846
Australian Shares 1.708184
International Shares 2.086376
Property 1.145762
Bonds 1.071650
Cash 1.113793

  

Past week's unit prices - Account-based pension

Options 01/05/2024 30/04/2024 29/04/2024 26/04/2024 24/04/2024
High Growth 3.601688 3.623374 3.633253 3.620172 3.635442
Growth 3.155626 3.172097 3.177881 3.168076 3.180273
Balanced 1.094387 1.099107 1.100641 1.097929 1.101418
Conservative Balanced 2.502772 2.512132 2.513461 2.507964 2.515655
Indexed Defensive 1.055694 1.059897 1.059499 1.057633 1.061486
Capital Guarded 1.435391 1.438828 1.438336 1.436304 1.439475
Secure 1.082987 1.084118 1.083642 1.082575 1.083908
Australian Shares 3.488777 3.530724 3.518848 3.491639 3.539367
International Shares 5.192387 5.207146 5.221009 5.228182 5.232883
Property 2.416437 2.446455 2.427115 2.388933 2.434454
Bonds 1.662389 1.668946 1.663134 1.660414 1.669517
Cash 1.445986 1.445804 1.445622 1.445072 1.444710

 

Past week's unit prices - Pre-retirement pension

Options 01/05/2024 30/04/2024 29/04/2024 26/04/2024 24/04/2024
High Growth 1.685093 1.693685 1.696837 1.691271 1.697533
Growth 1.587005 1.594073 1.596063 1.591538 1.596773
Balanced 1.129447 1.133652 1.134916 1.132256 1.135188
Conservative Balanced 1.366654 1.370822 1.371504 1.368840 1.372039
Indexed Defensive 1.000000 1.000000 1.000000 1.000000 1.000000
Secure 1.235846 1.236984 1.236515 1.235460 1.236801
Australian Shares 1.708184 1.724791 1.720092 1.709296 1.728192
International Shares 2.086376 2.091983 2.097204 2.099940 2.101809
Property 1.145762 1.157770 1.150036 1.134766 1.152978
Bonds 1.071650 1.075636 1.072104 1.070453 1.075988
Cash 1.113793 1.113666 1.113540 1.113158 1.112907

1 If you're invested in the Lifecycle Investment Strategy, you'll be invested in a mix of the High Growth and Conservative Balanced investment options based on your age. For more information about the Lifecycle Investment Strategy read our Lifecycle Investment Strategy (PDF) factsheet.

Note: The Secure investment option (previously Stable) was renamed on 24 March 2022.

 

For further information on past unit prices please call us

Past performance isn't necessarily an indication of future performance.

 

Non pricing days

Unit prices will not be calculated on weekends and on the following days:

2024

  • Monday, 1 January
  • Friday, 26 January
  • Friday, 29 March
  • Monday, 1 April
  • Thursday, 25 April
  • Monday, 10 June
  • Monday, 7 October
  • Wednesday, 25 December
  • Thursday, 26 December

2025

  • Wednesday, 1 January
  • Monday, 27 January
  • Friday, 18 April
  • Monday, 21 April
  • Friday, 25 April
  • Monday, 9 June
  • Monday, 6 October
  • Thursday, 25 December
  • Friday, 26 December