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

09/09/2021

54.506145

54.316039

08/09/2021

54.784690

54.593613

07/09/2021

54.914038

54.722510

06/09/2021

54.715605

54.524768

03/09/2021

54.522075

54.331914

02/09/2021

54.839719

54.648449

01/09/2021

54.972583

54.780850

31/08/2021

55.228612

55.035986

30/08/2021

55.254826

55.062109

27/08/2021

55.124411

54.932149

26/08/2021

55.058632

54.866599

25/08/2021

55.268798

55.076032

24/08/2021

55.115603

54.923372

23/08/2021

55.317479

55.124543

20/08/2021

55.317860

55.124922

19/08/2021

54.864312

54.672957

18/08/2021

54.524709

54.334538

17/08/2021

54.633595

54.443045

16/08/2021

54.335677

54.146166

13/08/2021

54.140387

53.951557

12/08/2021

54.257299

54.068060

11/08/2021

53.940940

53.752805

10/08/2021

53.955611

53.767425

09/08/2021

53.965738

53.777516

06/08/2021

53.912611

53.724575

05/08/2021

53.604642

53.417680

04/08/2021

53.549398

53.362629

03/08/2021

53.673781

53.486578

31/07/2021

53.494857

53.308278

30/07/2021

53.494857

53.308278