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

15/07/2022

22.102541

22.102541

14/07/2022

22.100916

22.100916

13/07/2022

22.100157

22.100157

12/07/2022

22.099412

22.099412

11/07/2022

22.098665

22.098665

08/07/2022

22.098279

22.098279

07/07/2022

22.096021

22.096021

06/07/2022

22.095243

22.095243

05/07/2022

22.094844

22.094844

04/07/2022

22.094253

22.094253

01/07/2022

22.094075

22.094075

30/06/2022

22.092790

22.092790

29/06/2022

22.092851

22.092851

28/06/2022

22.092333

22.092333

27/06/2022

22.091815

22.091815

24/06/2022

22.091421

22.091421

23/06/2022

22.089762

22.089762

22/06/2022

22.089220

22.089220

21/06/2022

22.088742

22.088742

20/06/2022

22.088269

22.088269

17/06/2022

22.087940

22.087940

16/06/2022

22.086463

22.086463

15/06/2022

22.086009

22.086009

14/06/2022

22.085544

22.085544

10/06/2022

22.085270

22.085270

09/06/2022

22.083379

22.083379

08/06/2022

22.083197

22.083197

07/06/2022

22.082812

22.082812

06/06/2022

22.082475

22.082475

03/06/2022

22.082259

22.082259