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

06/01/2021

61.982620

61.815718

05/01/2021

62.142839

61.975505

04/01/2021

62.194982

62.027507

31/12/2020

62.039833

61.872777

30/12/2020

62.310032

62.142248

29/12/2020

62.399700

62.231675

24/12/2020

62.136382

61.969065

23/12/2020

62.039206

61.872151

22/12/2020

61.998407

61.831462

21/12/2020

61.997780

61.830837

18/12/2020

62.118590

61.951321

17/12/2020

62.356382

62.188473

16/12/2020

62.143108

61.975774

15/12/2020

62.006632

61.839665

14/12/2020

61.821531

61.655063

11/12/2020

61.774165

61.607824

10/12/2020

62.000424

61.833473

09/12/2020

62.318281

62.150474

08/12/2020

62.569271

62.400789

07/12/2020

62.423439

62.255349

04/12/2020

62.483078

62.314828

03/12/2020

62.145529

61.978187

02/12/2020

62.256387

62.088747

01/12/2020

62.311421

62.143634

30/11/2020

61.793040

61.626648

27/11/2020

62.027300

61.860277

26/11/2020

62.128840

61.961543

25/11/2020

62.273006

62.105321

24/11/2020

62.209213

62.041700

23/11/2020

61.946792

61.779986