What can we help you find?
Search by Topic

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

17/02/2021

63.841447

63.669539

16/02/2021

63.963362

63.791126

15/02/2021

63.808239

63.636421

12/02/2021

63.738190

63.566561

11/02/2021

63.676971

63.505506

10/02/2021

63.694305

63.522794

09/02/2021

63.588043

63.416817

08/02/2021

63.723354

63.551764

05/02/2021

63.638964

63.467601

04/02/2021

63.528761

63.357695

03/02/2021

63.426095

63.255305

02/02/2021

63.244319

63.074019

01/02/2021

62.562067

62.393604

31/01/2021

61.844202

61.677673

29/01/2021

61.844202

61.677673

28/01/2021

62.309464

62.141682

27/01/2021

62.358391

62.190477

25/01/2021

63.067578

62.897754

22/01/2021

62.999888

62.830247

21/01/2021

62.995529

62.825900

20/01/2021

62.963359

62.793816

19/01/2021

62.779492

62.610443

18/01/2021

62.434671

62.266552

15/01/2021

62.471178

62.302960

14/01/2021

62.429812

62.261706

13/01/2021

62.417029

62.248957

12/01/2021

62.402690

62.234656

11/01/2021

62.562940

62.394475

08/01/2021

62.631433

62.462783

07/01/2021

62.463102

62.294906