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

International Shares

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

22/10/2021

53.416762

53.230455

21/10/2021

53.322441

53.136463

20/10/2021

53.330416

53.144411

19/10/2021

53.364763

53.178638

18/10/2021

53.392401

53.206179

15/10/2021

53.278990

53.093164

14/10/2021

52.907504

52.722974

13/10/2021

52.540601

52.357350

12/10/2021

52.335809

52.153273

11/10/2021

52.353684

52.171085

08/10/2021

52.984135

52.799337

07/10/2021

53.134565

52.949243

06/10/2021

52.940209

52.755565

05/10/2021

52.921619

52.737039

01/10/2021

53.341265

53.155222

30/09/2021

53.334705

53.148685

29/09/2021

53.903886

53.715880

28/09/2021

53.624435

53.437404

27/09/2021

54.341470

54.151938

24/09/2021

54.750988

54.560028

23/09/2021

54.462854

54.272899

22/09/2021

54.286032

54.096694

21/09/2021

54.104800

53.916094

20/09/2021

53.872735

53.684838

17/09/2021

54.617053

54.426560

16/09/2021

54.918462

54.726917

15/09/2021

54.595241

54.404824

14/09/2021

54.477461

54.287455

13/09/2021

54.393739

54.204025

10/09/2021

54.312197

54.122768