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

18/01/2018

83.025869

82.744538

17/01/2018

83.007646

82.726376

16/01/2018

83.271890

82.989725

15/01/2018

83.503018

83.220070

12/01/2018

83.468885

83.186052

11/01/2018

83.498020

83.215089

10/01/2018

83.795148

83.511210

09/01/2018

84.114524

83.829504

08/01/2018

84.099706

83.814735

05/01/2018

84.124281

83.839228

04/01/2018

83.715939

83.432269

03/01/2018

83.519401

83.236397

02/01/2018

83.476876

83.194017

31/12/2017

83.337065

83.054679

29/12/2017

83.337065

83.054679

28/12/2017

83.546469

83.263374

27/12/2017

83.181460

82.899601

22/12/2017

83.241617

82.959555

21/12/2017

83.061174

82.779723

20/12/2017

83.165236

82.883432

19/12/2017

83.003919

82.722662

18/12/2017

82.708896

82.428639

15/12/2017

82.338501

82.059499

14/12/2017

82.346732

82.067702

13/12/2017

82.420059

82.140780

12/12/2017

82.399602

82.120393

11/12/2017

82.274830

81.996044

08/12/2017

82.092029

81.813861

07/12/2017

81.716038

81.439145

06/12/2017

81.369848

81.094128