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

Diversified Option

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

12/06/2025

2.204617

2.200217

11/06/2025

2.203671

2.199272

10/06/2025

2.202255

2.197859

06/06/2025

2.198012

2.193625

05/06/2025

2.192759

2.188382

04/06/2025

2.195625

2.191243

03/06/2025

2.190226

2.185854

02/06/2025

2.183774

2.179415

30/05/2025

2.191445

2.187071

29/05/2025

2.188158

2.183790

28/05/2025

2.187279

2.182913

27/05/2025

2.188862

2.184493

26/05/2025

2.169072

2.164743

23/05/2025

2.169450

2.165120

22/05/2025

2.175199

2.170857

21/05/2025

2.175702

2.171359

20/05/2025

2.189713

2.185342

19/05/2025

2.178910

2.174561

16/05/2025

2.188234

2.183866

15/05/2025

2.178782

2.174433

14/05/2025

2.170920

2.166587

13/05/2025

2.172713

2.168376

12/05/2025

2.178084

2.173737

09/05/2025

2.161040

2.156727

08/05/2025

2.159954

2.155643

07/05/2025

2.151248

2.146954

06/05/2025

2.144177

2.139897

05/05/2025

2.148226

2.143938

02/05/2025

2.155625

2.151322

01/05/2025

2.149672

2.145381