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

Cash

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

08/03/2022

22.069709

22.069709

07/03/2022

22.069689

22.069689

04/03/2022

22.069786

22.069786

03/03/2022

22.069601

22.069601

02/03/2022

22.069454

22.069454

01/03/2022

22.069428

22.069428

28/02/2022

22.069407

22.069407

25/02/2022

22.069507

22.069507

24/02/2022

22.069330

22.069330

23/02/2022

22.069312

22.069312

22/02/2022

22.069225

22.069225

21/02/2022

22.069214

22.069214

18/02/2022

22.069325

22.069325

17/02/2022

22.069165

22.069165

16/02/2022

22.069153

22.069153

15/02/2022

22.069140

22.069140

14/02/2022

22.069130

22.069130

11/02/2022

22.069241

22.069241

10/02/2022

22.069090

22.069090

09/02/2022

22.069079

22.069079

08/02/2022

22.069067

22.069067

07/02/2022

22.069055

22.069055

04/02/2022

22.069164

22.069164

03/02/2022

22.068940

22.068940

02/02/2022

22.068929

22.068929

01/02/2022

22.068919

22.068919

31/01/2022

22.068909

22.068909

28/01/2022

22.069020

22.069020

27/01/2022

22.068873

22.068873

25/01/2022

22.068911

22.068911