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

High Growth

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

11/02/2019

53.747637

53.586876

08/02/2019

53.694245

53.533644

07/02/2019

53.701103

53.540481

06/02/2019

53.543380

53.383230

05/02/2019

53.178640

53.019581

04/02/2019

52.877716

52.719557

01/02/2019

52.601499

52.444166

31/01/2019

52.518861

52.361776

30/01/2019

52.716380

52.558704

29/01/2019

52.600905

52.443574

25/01/2019

52.713280

52.555614

24/01/2019

52.492146

52.335141

23/01/2019

52.313310

52.156840

22/01/2019

52.335874

52.179335

21/01/2019

52.549702

52.392524

18/01/2019

52.404653

52.247909

17/01/2019

52.113585

51.957712

16/01/2019

51.955531

51.800131

15/01/2019

51.722921

51.568217

14/01/2019

51.459201

51.305285

11/01/2019

51.592801

51.438485

10/01/2019

51.642912

51.488446

09/01/2019

51.562516

51.408291

08/01/2019

51.318145

51.164651

07/01/2019

51.004173

50.851618

04/01/2019

50.679858

50.528273

03/01/2019

50.528919

50.377786

02/01/2019

50.625991

50.474567

31/12/2018

50.798256

50.646318

28/12/2018

50.764736

50.612897