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

29/01/2020

62.142437

61.968924

28/01/2020

62.005657

61.832526

24/01/2020

62.200503

62.026828

23/01/2020

62.225488

62.051744

22/01/2020

62.385274

62.211083

21/01/2020

62.170274

61.996684

20/01/2020

62.265660

62.091803

17/01/2020

62.249773

62.075960

16/01/2020

62.091546

61.918176

15/01/2020

61.865254

61.692515

14/01/2020

61.728531

61.556174

13/01/2020

61.612540

61.440507

10/01/2020

61.540994

61.369160

09/01/2020

61.618960

61.446909

08/01/2020

61.351952

61.180646

07/01/2020

61.337763

61.166497

06/01/2020

60.942929

60.772766

03/01/2020

60.926819

60.756700

02/01/2020

60.741696

60.572094

31/12/2019

60.391447

60.222823

30/12/2019

60.728517

60.558952

27/12/2019

60.827109

60.657268

24/12/2019

60.796585

60.626830

23/12/2019

60.791184

60.621444

20/12/2019

60.891235

60.721216

19/12/2019

60.934308

60.764169

18/12/2019

60.969569

60.799331

17/12/2019

60.985091

60.814810

16/12/2019

60.863418

60.693476

13/12/2019

60.546710

60.377653