Although you’re 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

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. You can see the latest declared unit price, along with the past week's unit prices in the tables below.

About latest declared unit prices

Information displayed in the tables below may be delayed from time to time. For an up to date account balance using the latest available unit prices, go to your online account.

 

Options: Super and pre-retirement pension 3/12/2024
High Growth3.563069
Growth3.113030
Balanced1.190376
Moderate1.056668
Indexed Defensive1.143303
Defensive1.046641
Secure1.959011
Australian Shares3.427615
International Shares5.167935
Property2.486062
Bonds1.556982
Cash1.370760

 

Options: Account-based pension3/12/2024
High Growth4.114825
Growth3.548782
Balanced1.214323
Moderate1.063923
Indexed Defensive1.149140
Defensive1.049625
Secure1.126798
Australian Shares4.018921
International Shares6.090814
Property2.853176
Bonds1.725306
Cash1.485695

Past week's unit prices

Super and pre-retirement pension2
Options: Super and pre-retirement pension 3/12/20242/12/202429/11/202428/11/202427/11/2024
High Growth3.5630693.5563633.5398963.5358563.531391
Growth3.1130303.1069693.0942883.0908523.086888
Balanced1.1903761.1884221.1843611.1830701.181582
Moderate1.0566681.0555951.0517771.0511191.049976
Indexed Defensive1.1433031.1417301.1388001.1375111.135868
Defensive1.0466411.0456831.0428351.0420161.040692
Secure1.9590111.9577431.9568951.9569701.956090
Australian Shares3.4276153.4099863.4057713.4085433.394333
International Shares5.1679355.1748505.1150985.0990515.099716
Property2.4860622.4771792.4776492.4946552.497374
Bonds1.5569821.5548051.5549871.5533261.549818
Cash1.3707601.3706081.3701511.3700011.369851

Account-based pension
Options: Account-based pension3/12/20242/12/202429/11/202428/11/202427/11/2024
High Growth4.1148254.1067954.0863634.0804824.073478
Growth3.5487823.5424223.5267603.5219013.515984
Balanced1.2143231.2123451.2075401.2059721.204022
Moderate1.0639231.0623341.0590651.0576731.055940
Indexed Defensive1.1491401.1473601.1440681.1426581.140788
Defensive1.0496251.0481531.0457581.0445981.042913
Secure1.1267981.1259581.1253981.1254421.124889
Australian Shares4.0189213.9967863.9914963.9948983.977344
International Shares6.0908146.0996216.0238026.0038366.004882
Property2.8531762.8415232.8421392.8649622.867774
Bonds1.7253061.7224741.7227121.7208001.716331
Cash1.4856951.4855101.4849521.4847671.484582

1 If you're invested in the Lifecycle Investment Strategy, you'll be invested in the investment option relevant to your age: High Growth (under age 50); Growth (aged 50-54) or Balanced (aged 55 and above). For more information about the Lifecycle Investment Strategy read our Lifecycle Investment Strategy (PDF) factsheet.

2 Unit pricing for our pre-retirement pension product is combined with our super product as these products invest in the same pool of assets and have the same investment return objective and investment fees and costs, as well as the same investment returns.

Note: The High Growth investment option (previously Aggressive) was renamed on 25 March 2021. In our super and pre-retirement pension products, the Secure investment option (previously Stable) was renamed on 24 March 2022. In our account-based pension, the Secure investment option commenced in 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:

20242025
  • 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
  • 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