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

Australian Equities

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

29/07/2021

107.542048

107.220387

28/07/2021

106.902067

106.582320

27/07/2021

107.431940

107.110609

26/07/2021

107.322216

107.001212

23/07/2021

107.433331

107.111995

22/07/2021

107.146800

106.826321

21/07/2021

106.119390

105.801984

20/07/2021

105.520536

105.204921

19/07/2021

106.089057

105.771742

16/07/2021

107.039339

106.719182

15/07/2021

106.884786

106.565091

14/07/2021

107.025932

106.705815

13/07/2021

106.349337

106.031243

12/07/2021

106.102464

105.785109

09/07/2021

105.627922

105.311986

08/07/2021

106.507443

106.188876

07/07/2021

106.320134

106.002128

06/07/2021

105.651941

105.335933

05/07/2021

106.368487

106.050336

02/07/2021

106.517649

106.199051

01/07/2021

106.085790

105.768485

30/06/2021

106.732431

106.413192

29/06/2021

106.090851

105.773530

28/06/2021

106.152559

105.835054

25/06/2021

106.214998

105.897306

24/06/2021

105.553406

105.237693

23/06/2021

105.867725

105.551072

22/06/2021

106.349530

106.031436

21/06/2021

105.059141

104.744906

18/06/2021

106.588527

106.269718