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 Term Allocated Pension Plan

As of Date Entry Price Exit Price

19/10/2018

1.533105

1.529434

18/10/2018

1.534118

1.530445

17/10/2018

1.538330

1.534647

16/10/2018

1.534881

1.531206

15/10/2018

1.527811

1.524153

12/10/2018

1.532616

1.528947

11/10/2018

1.530536

1.526871

10/10/2018

1.542390

1.538697

09/10/2018

1.551929

1.548214

08/10/2018

1.554625

1.550902

05/10/2018

1.559194

1.555461

04/10/2018

1.560234

1.556499

03/10/2018

1.562118

1.558378

02/10/2018

1.559746

1.556011

30/09/2018

1.562349

1.558608

28/09/2018

1.562349

1.558608

27/09/2018

1.562560

1.558819

26/09/2018

1.560156

1.556420

25/09/2018

1.559934

1.556199

24/09/2018

1.559763

1.556029

21/09/2018

1.560889

1.557151

20/09/2018

1.559622

1.555888

19/09/2018

1.559008

1.555275

18/09/2018

1.561369

1.557630

17/09/2018

1.562229

1.558488

14/09/2018

1.563479

1.559735

13/09/2018

1.561634

1.557895

12/09/2018

1.562824

1.559082

11/09/2018

1.563550

1.559807

10/09/2018

1.560723

1.556987