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

20/11/2020

61.675808

61.509732

19/11/2020

61.815432

61.648980

18/11/2020

61.618660

61.452738

17/11/2020

61.790919

61.624532

16/11/2020

61.712704

61.546529

13/11/2020

61.436873

61.271440

12/11/2020

61.225688

61.060824

11/11/2020

61.413707

61.248337

10/11/2020

60.943707

60.779602

09/11/2020

60.689735

60.526314

06/11/2020

60.116613

59.954735

05/11/2020

59.958357

59.796905

04/11/2020

59.582251

59.421812

03/11/2020

59.103924

58.944773

02/11/2020

58.716645

58.558537

31/10/2020

58.539889

58.382257

30/10/2020

58.539889

58.382257

29/10/2020

58.905607

58.746990

28/10/2020

58.948758

58.790025

27/10/2020

59.292016

59.132359

26/10/2020

59.733893

59.573045

23/10/2020

60.198994

60.036894

22/10/2020

60.105124

59.943277

21/10/2020

60.104918

59.943071

20/10/2020

60.287024

60.124688

19/10/2020

60.198761

60.036662

16/10/2020

60.292780

60.130428

15/10/2020

60.328769

60.166320

14/10/2020

60.113887

59.952017

13/10/2020

60.251166

60.088926