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

05/10/2022

106.854286

106.534682

04/10/2022

104.955664

104.641739

30/09/2022

101.929597

101.624723

29/09/2022

103.052487

102.744254

28/09/2022

101.777461

101.473042

27/09/2022

102.152991

101.847449

26/09/2022

101.994855

101.689786

23/09/2022

103.371272

103.062086

21/09/2022

105.721351

105.405136

20/09/2022

107.018782

106.698686

19/09/2022

106.070142

105.752883

16/09/2022

106.668807

106.349758

15/09/2022

107.733314

107.411081

14/09/2022

107.677001

107.354936

13/09/2022

110.064083

109.734878

12/09/2022

109.410412

109.083163

09/09/2022

108.664711

108.339692

08/09/2022

108.436404

108.112068

07/09/2022

106.809127

106.489658

06/09/2022

107.733151

107.410918

05/09/2022

107.935923

107.613084

02/09/2022

107.738701

107.416452

01/09/2022

107.878810

107.556142

31/08/2022

109.201444

108.874820

30/08/2022

109.025964

108.699864

29/08/2022

108.334922

108.010889

26/08/2022

110.135383

109.805965

25/08/2022

109.447905

109.120543

24/08/2022

108.812525

108.487064

23/08/2022

108.160243

107.836733