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

07/01/2015

42.413572

42.295146

06/01/2015

42.247888

42.129924

05/01/2015

42.589892

42.470974

02/01/2015

42.751578

42.632208

31/12/2014

42.578174

42.459288

30/12/2014

42.647640

42.528560

29/12/2014

42.932725

42.812849

24/12/2014

42.724936

42.605640

23/12/2014

42.680921

42.561748

22/12/2014

42.771730

42.652304

19/12/2014

42.429361

42.310890

18/12/2014

42.028045

41.910695

17/12/2014

41.666979

41.550637

16/12/2014

41.440124

41.324416

15/12/2014

41.498582

41.382711

12/12/2014

41.693278

41.576862

11/12/2014

41.883488

41.766542

10/12/2014

41.873536

41.756617

09/12/2014

41.992187

41.874937

08/12/2014

42.287647

42.169572

05/12/2014

42.300529

42.182419

04/12/2014

42.225997

42.108094

03/12/2014

42.135786

42.018135

02/12/2014

41.947370

41.830245

01/12/2014

41.700813

41.584377

30/11/2014

41.925813

41.808749

28/11/2014

41.925813

41.808749

27/11/2014

42.107553

41.989981

26/11/2014

42.126860

42.009234

25/11/2014

41.957415

41.840263