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

30/09/2019

1.660474

1.656499

27/09/2019

1.659269

1.655297

26/09/2019

1.660121

1.656146

25/09/2019

1.660542

1.656567

24/09/2019

1.659532

1.655559

23/09/2019

1.662338

1.658358

20/09/2019

1.661008

1.657031

19/09/2019

1.658806

1.654834

18/09/2019

1.654511

1.650550

17/09/2019

1.653896

1.649936

16/09/2019

1.651655

1.647700

13/09/2019

1.651089

1.647136

12/09/2019

1.652308

1.648352

11/09/2019

1.650453

1.646501

10/09/2019

1.648082

1.644136

09/09/2019

1.650497

1.646545

06/09/2019

1.651154

1.647200

05/09/2019

1.652616

1.648660

04/09/2019

1.648949

1.645001

03/09/2019

1.647233

1.643289

02/09/2019

1.649835

1.645885

31/08/2019

1.651511

1.647557

30/08/2019

1.651511

1.647557

29/08/2019

1.647660

1.643715

28/08/2019

1.644129

1.640193

27/08/2019

1.639956

1.636029

26/08/2019

1.637843

1.633922

23/08/2019

1.639761

1.635835

22/08/2019

1.642726

1.638793

21/08/2019

1.642349

1.638416