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

09/02/2017

26.794064

26.687315

08/02/2017

26.567656

26.461809

07/02/2017

26.443015

26.337664

06/02/2017

26.467716

26.362267

03/02/2017

26.399996

26.294817

02/02/2017

26.265957

26.161311

01/02/2017

26.692463

26.586118

31/01/2017

26.534293

26.428579

30/01/2017

26.662366

26.556142

27/01/2017

26.848059

26.741095

25/01/2017

26.946199

26.838844

24/01/2017

26.592843

26.486896

23/01/2017

26.429262

26.323966

20/01/2017

26.550432

26.444653

19/01/2017

26.486429

26.380905

18/01/2017

26.506652

26.401048

17/01/2017

26.510182

26.404563

16/01/2017

26.759610

26.652998

13/01/2017

26.776851

26.670170

12/01/2017

26.662078

26.555855

11/01/2017

27.083899

26.975995

10/01/2017

27.021541

26.913885

09/01/2017

27.077047

26.969170

06/01/2017

27.221461

27.113009

05/01/2017

27.065164

26.957335

04/01/2017

27.181045

27.072754

03/01/2017

27.187610

27.079293

31/12/2016

26.955704

26.848311

30/12/2016

26.955704

26.848311

29/12/2016

27.099963

26.991995