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

Australian Equities

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

18/01/2022

112.591931

112.255166

17/01/2022

112.681826

112.344792

14/01/2022

112.235084

111.899386

13/01/2022

113.126215

112.787851

12/01/2022

112.828884

112.491410

11/01/2022

112.206430

111.870818

10/01/2022

112.977572

112.639653

07/01/2022

113.322933

112.983981

06/01/2022

112.237331

111.901626

05/01/2022

115.049105

114.704990

04/01/2022

115.434420

115.089153

31/12/2021

113.215807

112.877175

30/12/2021

114.160288

113.818832

29/12/2021

114.033416

113.692339

24/12/2021

112.622225

112.285369

23/12/2021

112.140696

111.805280

22/12/2021

111.791606

111.457234

21/12/2021

111.399789

111.066589

20/12/2021

110.485549

110.155084

17/12/2021

110.741917

110.410685

16/12/2021

110.868537

110.536926

15/12/2021

110.889127

110.557455

14/12/2021

112.007903

111.672884

13/12/2021

111.841436

111.506915

10/12/2021

111.496633

111.163144

09/12/2021

111.568048

111.234345

08/12/2021

111.766263

111.431967

07/12/2021

110.671087

110.340067

06/12/2021

109.549650

109.221984

03/12/2021

109.801258

109.472839