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

27/01/2022

69.336415

69.149711

25/01/2022

69.676736

69.489115

24/01/2022

70.631050

70.440860

21/01/2022

70.431605

70.241952

20/01/2022

71.042206

70.850909

19/01/2022

71.449138

71.256745

18/01/2022

71.985996

71.792157

17/01/2022

72.398882

72.203931

14/01/2022

72.234503

72.039995

13/01/2022

72.152765

71.958477

12/01/2022

72.442242

72.247175

11/01/2022

72.512054

72.316799

10/01/2022

72.494057

72.298850

07/01/2022

72.639598

72.443999

06/01/2022

72.556689

72.361313

05/01/2022

72.746925

72.551037

04/01/2022

73.406820

73.209155

31/12/2021

72.741163

72.545291

30/12/2021

73.057918

72.861193

29/12/2021

72.947634

72.751206

24/12/2021

72.417693

72.222692

23/12/2021

72.275920

72.081300

22/12/2021

72.185821

71.991444

21/12/2021

72.153626

71.959336

20/12/2021

71.554180

71.361504

17/12/2021

71.874002

71.680465

16/12/2021

71.883008

71.689446

15/12/2021

72.199959

72.005544

14/12/2021

72.247851

72.053307

13/12/2021

72.448013

72.252930