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

22/09/2023

73.061782

72.915950

21/09/2023

73.372159

73.225708

20/09/2023

73.817238

73.669898

19/09/2023

74.179575

74.031512

18/09/2023

74.550972

74.402168

15/09/2023

74.767806

74.618569

14/09/2023

74.698922

74.549822

13/09/2023

74.529390

74.380629

12/09/2023

74.768836

74.619597

11/09/2023

74.718186

74.569048

08/09/2023

74.706533

74.557418

07/09/2023

74.855116

74.705705

06/09/2023

75.107982

74.958066

05/09/2023

75.372070

75.221627

04/09/2023

75.168596

75.018559

01/09/2023

75.098942

74.949044

31/08/2023

74.893184

74.743697

30/08/2023

74.848447

74.699049

29/08/2023

74.696365

74.547270

28/08/2023

74.309806

74.161483

25/08/2023

74.096569

73.948672

24/08/2023

73.945248

73.797653

23/08/2023

73.938556

73.790974

22/08/2023

73.810937

73.663610

21/08/2023

73.896487

73.748989

18/08/2023

73.921106

73.773559

17/08/2023

73.904093

73.756580

16/08/2023

74.109784

73.961860

15/08/2023

74.364534

74.216102

14/08/2023

74.614496

74.465565