What can we help you find?

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 Account Based Pension Plan

As of Date Entry Price Exit Price

08/11/2021

69.026277

68.861011

05/11/2021

68.971930

68.806794

04/11/2021

68.806576

68.641836

03/11/2021

68.540788

68.376684

02/11/2021

68.295027

68.131511

01/11/2021

68.018717

67.855863

31/10/2021

67.813727

67.651364

29/10/2021

67.813727

67.651364

28/10/2021

68.001938

67.839124

27/10/2021

67.988608

67.825826

26/10/2021

68.155215

67.992034

25/10/2021

68.161999

67.998802

22/10/2021

68.132613

67.969486

21/10/2021

68.082654

67.919647

20/10/2021

68.042566

67.879655

19/10/2021

67.994241

67.831446

18/10/2021

68.002094

67.839280

15/10/2021

67.974103

67.811356

14/10/2021

67.688869

67.526805

13/10/2021

67.428321

67.266880

12/10/2021

67.245947

67.084943

11/10/2021

67.291583

67.130470

08/10/2021

67.685187

67.523131

07/10/2021

67.636905

67.474965

06/10/2021

67.458306

67.296794

05/10/2021

67.555723

67.393977

01/10/2021

67.684760

67.522706

30/09/2021

67.966239

67.803511

29/09/2021

67.970523

67.807784

28/09/2021

68.003896

67.841077