DateBalance FundConservative FundGrowth FundSecure FundGrowth Super FundDynamic Opportunities FundMoney Market Fund
01.01.201020.2817.3727.8414.4915.0312.4710.14
02.01.201020.2817.3727.8414.4915.0312.4710.14
03.01.201020.2817.3727.8414.4915.0312.4710.14
04.01.201020.3617.4127.9714.5215.1212.5210.14
05.01.201020.4317.4428.1514.5315.2612.5910.14
06.01.201020.4317.4328.1614.5215.2612.610.15
07.01.201020.3817.4228.0814.5215.1912.5710.15
08.01.201020.3517.4128.0114.5315.1212.5510.15
09.01.201020.3517.4128.0114.5315.1212.5510.15
10.01.201020.3517.4128.0114.5315.1212.5510.15
11.01.201020.3817.4228.0614.5415.1712.5710.15
12.01.201020.3617.412814.5315.1312.5310.15
13.01.201020.3917.4228.0514.5315.1912.5310.15
14.01.201020.4317.4528.1414.5515.2612.5910.15
15.01.201020.4217.4428.114.5415.2512.5710.15
16.01.201020.4217.4428.114.5415.2512.5710.15
17.01.201020.4217.4428.114.5415.2512.5710.15
18.01.201020.4617.4728.1814.5515.3312.610.15
19.01.201020.4117.4528.0814.5515.2312.5610.15
20.01.201020.417.4528.0514.5515.2212.5510.15
12345678910...