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Unit Prices

Cash

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/01/2015

21.373971

21.373971

02/01/2015

21.372000

21.372000

31/12/2014

21.370677

21.370677

30/12/2014

21.370183

21.370183

29/12/2014

21.369537

21.369537

24/12/2014

21.366221

21.366221

23/12/2014

21.365553

21.365553

22/12/2014

21.364875

21.364875

19/12/2014

21.362914

21.362914

18/12/2014

21.362267

21.362267

17/12/2014

21.361621

21.361621

16/12/2014

21.360973

21.360973

15/12/2014

21.360326

21.360326

12/12/2014

21.358323

21.358323

11/12/2014

21.357630

21.357630

10/12/2014

21.356960

21.356960

09/12/2014

21.356289

21.356289

08/12/2014

21.355618

21.355618

05/12/2014

21.353670

21.353670

04/12/2014

21.353020

21.353020

03/12/2014

21.345565

21.345565

02/12/2014

21.344914

21.344914

01/12/2014

21.344242

21.344242

30/11/2014

21.342290

21.342290

28/11/2014

21.342290

21.342290

27/11/2014

21.341639

21.341639

26/11/2014

21.340945

21.340945

25/11/2014

21.340294

21.340294

24/11/2014

21.339622

21.339622