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

01/12/2020

1.708692

1.704601

30/11/2020

1.699058

1.694990

27/11/2020

1.703186

1.699108

26/11/2020

1.704977

1.700895

25/11/2020

1.707873

1.703784

24/11/2020

1.706383

1.702298

23/11/2020

1.702714

1.698637

20/11/2020

1.698473

1.694407

19/11/2020

1.700355

1.696283

18/11/2020

1.696920

1.692857

17/11/2020

1.699425

1.695356

16/11/2020

1.697995

1.693930

13/11/2020

1.693215

1.689161

12/11/2020

1.690039

1.685992

11/11/2020

1.692496

1.688444

10/11/2020

1.684619

1.680585

09/11/2020

1.680040

1.676018

06/11/2020

1.671337

1.667335

05/11/2020

1.668986

1.664990

04/11/2020

1.662089

1.658110

03/11/2020

1.653755

1.649795

02/11/2020

1.647041

1.643097

31/10/2020

1.643883

1.639948

30/10/2020

1.643883

1.639948

29/10/2020

1.649684

1.645735

28/10/2020

1.650933

1.646980

27/10/2020

1.656611

1.652645

26/10/2020

1.663398

1.659416

23/10/2020

1.669790

1.665792

22/10/2020

1.668356

1.664362