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

19/09/2019

59.498023

59.331893

18/09/2019

59.267427

59.101942

17/09/2019

59.248655

59.083222

16/09/2019

59.156375

58.991200

13/09/2019

59.159831

58.994646

12/09/2019

59.169674

59.004462

11/09/2019

59.074988

58.910039

10/09/2019

58.873795

58.709409

09/09/2019

58.935579

58.771021

06/09/2019

58.966736

58.802090

05/09/2019

59.000993

58.836252

04/09/2019

58.662239

58.498443

03/09/2019

58.560171

58.396660

02/09/2019

58.747226

58.583193

31/08/2019

58.814377

58.650157

30/08/2019

58.814377

58.650157

29/08/2019

58.576965

58.413407

28/08/2019

58.336225

58.173340

27/08/2019

58.112069

57.949810

26/08/2019

57.999139

57.837194

23/08/2019

58.142470

57.980126

22/08/2019

58.361629

58.198672

21/08/2019

58.351512

58.188584

20/08/2019

58.330747

58.167877

19/08/2019

58.240896

58.078277

16/08/2019

57.917672

57.755956

15/08/2019

57.668493

57.507472

14/08/2019

58.168193

58.005777

13/08/2019

58.416649

58.253539

12/08/2019

58.413322

58.250221