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

30/09/2023

1.882161

1.878404

29/09/2023

1.882161

1.878404

28/09/2023

1.883680

1.879920

27/09/2023

1.886983

1.883217

26/09/2023

1.885264

1.881501

25/09/2023

1.896321

1.892536

22/09/2023

1.891543

1.887767

21/09/2023

1.897059

1.893272

20/09/2023

1.906611

1.902805

19/09/2023

1.912902

1.909084

18/09/2023

1.919770

1.915938

15/09/2023

1.924939

1.921097

14/09/2023

1.924253

1.920412

13/09/2023

1.920566

1.916733

12/09/2023

1.924280

1.920439

11/09/2023

1.923226

1.919387

08/09/2023

1.924530

1.920689

07/09/2023

1.925922

1.922078

06/09/2023

1.930074

1.926222

05/09/2023

1.935208

1.931345

04/09/2023

1.932967

1.929109

01/09/2023

1.932910

1.929052

31/08/2023

1.929716

1.925864

30/08/2023

1.927845

1.923997

29/08/2023

1.924577

1.920736

28/08/2023

1.916454

1.912629

25/08/2023

1.912393

1.908576

24/08/2023

1.910174

1.906361

23/08/2023

1.909098

1.905287

22/08/2023

1.904113

1.900312