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

10/09/2015

25.563078

25.461233

09/09/2015

25.749133

25.646546

08/09/2015

25.814338

25.711492

07/09/2015

25.696236

25.593861

04/09/2015

25.639676

25.537526

03/09/2015

25.743078

25.640515

02/09/2015

25.656634

25.554416

01/09/2015

25.332151

25.231226

31/08/2015

25.803151

25.700349

28/08/2015

25.738915

25.636370

27/08/2015

25.645731

25.543557

26/08/2015

25.268006

25.167337

25/08/2015

24.629471

24.531346

24/08/2015

24.596497

24.498503

21/08/2015

24.995565

24.895981

20/08/2015

25.655400

25.553188

19/08/2015

26.086916

25.982984

18/08/2015

26.336715

26.231788

17/08/2015

26.233508

26.128992

14/08/2015

26.239304

26.134764

13/08/2015

26.259117

26.154499

12/08/2015

26.199181

26.094802

11/08/2015

26.618272

26.512223

10/08/2015

26.524069

26.418396

07/08/2015

26.275661

26.170977

06/08/2015

26.505921

26.400320

05/08/2015

26.635022

26.528907

04/08/2015

26.275416

26.170733

31/07/2015

26.680562

26.574265

30/07/2015

26.851698

26.744719