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

27/03/2015

21.423271

21.423271

26/03/2015

21.422774

21.422774

25/03/2015

21.422277

21.422277

24/03/2015

21.421780

21.421780

23/03/2015

21.421283

21.421283

20/03/2015

21.419677

21.419677

19/03/2015

21.419137

21.419137

18/03/2015

21.418619

21.418619

17/03/2015

21.418058

21.418058

16/03/2015

21.417539

21.417539

13/03/2015

21.415983

21.415983

12/03/2015

21.415464

21.415464

11/03/2015

21.414924

21.414924

10/03/2015

21.414083

21.414083

09/03/2015

21.413498

21.413498

06/03/2015

21.411854

21.411854

05/03/2015

21.411311

21.411311

04/03/2015

21.410769

21.410769

03/03/2015

21.410226

21.410226

02/03/2015

21.409565

21.409565

28/02/2015

21.407914

21.407914

27/02/2015

21.407914

21.407914

26/02/2015

21.407307

21.407307

25/02/2015

21.407172

21.407172

24/02/2015

21.406564

21.406564

23/02/2015

21.405936

21.405936

20/02/2015

21.404062

21.404062

19/02/2015

21.403476

21.403476

18/02/2015

21.402720

21.402720

17/02/2015

21.402133

21.402133