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

Balanced Option

Perpetual Select Account Based Pension Plan

As of Date Entry Price Exit Price

21/02/2023

66.740604

66.607389

20/02/2023

67.069579

66.935708

17/02/2023

67.317636

67.183269

16/02/2023

67.535885

67.401083

15/02/2023

67.470061

67.335390

14/02/2023

67.184769

67.050668

13/02/2023

67.146921

67.012895

10/02/2023

67.177406

67.043319

09/02/2023

67.283254

67.148956

08/02/2023

67.587019

67.452115

07/02/2023

67.767947

67.632682

06/02/2023

67.890528

67.755018

03/02/2023

67.842164

67.706750

02/02/2023

67.548096

67.413269

01/02/2023

67.227863

67.093676

31/01/2023

66.965943

66.832278

30/01/2023

66.668209

66.535139

27/01/2023

66.838050

66.704641

25/01/2023

66.639214

66.506202

24/01/2023

66.783998

66.650697

23/01/2023

66.761632

66.628375

20/01/2023

66.842276

66.708858

19/01/2023

66.748587

66.615356

18/01/2023

66.437669

66.305059

17/01/2023

66.558152

66.425301

16/01/2023

66.655452

66.522407

13/01/2023

66.527277

66.394488

12/01/2023

66.339901

66.207486

11/01/2023

66.059075

65.927221

10/01/2023

65.723139

65.591955