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

Growth

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

10/03/2022

67.662065

67.527011

09/03/2022

67.565968

67.431106

08/03/2022

66.769603

66.636330

07/03/2022

66.730245

66.597051

04/03/2022

67.774507

67.639229

03/03/2022

68.673773

68.536700

02/03/2022

69.184861

69.046767

01/03/2022

68.908835

68.771292

28/02/2022

69.250904

69.112679

25/02/2022

69.326563

69.188187

24/02/2022

69.060578

68.922733

23/02/2022

68.940832

68.803226

22/02/2022

69.343709

69.205298

21/02/2022

69.857998

69.718561

18/02/2022

70.121832

69.981868

17/02/2022

70.471117

70.330456

16/02/2022

71.051810

70.909990

15/02/2022

70.850867

70.709448

14/02/2022

70.505039

70.364310

11/02/2022

70.521343

70.380582

10/02/2022

71.001295

70.859576

09/02/2022

71.554616

71.411792

08/02/2022

71.000585

70.858867

07/02/2022

70.739628

70.598431

04/02/2022

71.078035

70.936163

03/02/2022

70.503272

70.362547

02/02/2022

71.153842

71.011818

01/02/2022

70.816147

70.674797

31/01/2022

70.722275

70.531839

28/01/2022

70.265832

70.076625