Unit price history - Retail funds

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BT Investor Choice Funds - Westpac Balanced Growth Fund (WFS0033AU)
Exit price graphMFUnitPriceHistory
DateEntry price Exit price
26-Oct-2020$1.2451$1.2413
25-Oct-2020$1.2519$1.2481
24-Oct-2020$1.2519$1.2481
23-Oct-2020$1.2519$1.2481
22-Oct-2020$1.2499$1.2461
21-Oct-2020$1.2513$1.2475
20-Oct-2020$1.2540$1.2502
19-Oct-2020$1.2541$1.2503
18-Oct-2020$1.2535$1.2497
17-Oct-2020$1.2535$1.2497
16-Oct-2020$1.2535$1.2497
15-Oct-2020$1.2560$1.2522
14-Oct-2020$1.2516$1.2478
13-Oct-2020$1.2545$1.2507
12-Oct-2020$1.2509$1.2471
11-Oct-2020$1.2451$1.2413
10-Oct-2020$1.2451$1.2413
9-Oct-2020$1.2451$1.2413
8-Oct-2020$1.2445$1.2407
7-Oct-2020$1.2368$1.2331
6-Oct-2020$1.2265$1.2228
5-Oct-2020$1.2112$1.2075
4-Oct-2020$1.2112$1.2075
3-Oct-2020$1.2112$1.2075
2-Oct-2020$1.2112$1.2075
1-Oct-2020$1.2170$1.2133
30-Sep-2020$1.2129$1.2092
29-Sep-2020$1.2224$1.2187
28-Sep-2020$1.2263$1.2226

Past performance is not a reliable indicator of future performance.

BT Funds Management Limited (ABN 63 002 916 458), BT Funds Management No. 2 Limited (ABN 22 000 727 659), Westpac Financial Services Limited (ABN 20 000 241 127), BT Investment Management (Fund Services) Limited (ABN 13 161 249 332) and Westpac Securities Administration Limited (ABN 77 000 049 472, AFSL 233 731) currently offer products named on this website. The offers are contained in the relevant prospectus, product disclosure statement (PDS) or other disclosure document.
To invest, complete the application form attached to or accompanying the relevant disclosure document, a copy of which can be obtained by phoning 132 135. Investors should consider the disclosure document in deciding whether to acquire or continue to hold the product.

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