What can we help you find?
Search by Topic

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

22/09/2023

22.941306

22.941306

21/09/2023

22.932987

22.932987

20/09/2023

22.930334

22.930334

19/09/2023

22.927679

22.927679

18/09/2023

22.925023

22.925023

15/09/2023

22.922491

22.922491

14/09/2023

22.914269

22.914269

13/09/2023

22.911610

22.911610

12/09/2023

22.908947

22.908947

11/09/2023

22.906283

22.906283

08/09/2023

22.903700

22.903700

07/09/2023

22.895617

22.895617

06/09/2023

22.893000

22.893000

05/09/2023

22.890386

22.890386

04/09/2023

22.887765

22.887765

01/09/2023

22.885271

22.885271

31/08/2023

22.877205

22.877205

30/08/2023

22.874559

22.874559

29/08/2023

22.871652

22.871652

28/08/2023

22.869007

22.869007

25/08/2023

22.866492

22.866492

24/08/2023

22.858426

22.858426

23/08/2023

22.855779

22.855779

22/08/2023

22.853084

22.853084

21/08/2023

22.850448

22.850448

18/08/2023

22.847938

22.847938

17/08/2023

22.839985

22.839985

16/08/2023

22.837295

22.837295

15/08/2023

22.834665

22.834665

14/08/2023

22.832033

22.832033