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

16/07/2020

56.715268

56.579477

15/07/2020

56.821562

56.685517

14/07/2020

56.497545

56.362275

13/07/2020

56.484101

56.348863

10/07/2020

56.510612

56.375311

09/07/2020

56.489522

56.331793

08/07/2020

56.483794

56.326081

07/07/2020

56.594708

56.436686

06/07/2020

56.795651

56.637067

03/07/2020

56.725052

56.566665

02/07/2020

56.787186

56.628626

01/07/2020

56.435207

56.277630

30/06/2020

56.311725

56.154493

29/06/2020

56.060904

55.904372

26/06/2020

56.178832

56.021971

25/06/2020

56.224703

56.067713

24/06/2020

56.422944

56.265401

23/06/2020

56.633508

56.475377

22/06/2020

56.615985

56.457902

19/06/2020

56.716651

56.558288

18/06/2020

56.687559

56.529277

17/06/2020

56.711281

56.552933

16/06/2020

56.732681

56.574273

15/06/2020

55.935311

55.779129

12/06/2020

56.248497

56.091441

11/06/2020

56.247625

56.090571

10/06/2020

57.170287

57.010657

09/06/2020

57.369503

57.209316

05/06/2020

56.996153

56.837009

04/06/2020

56.673525

56.515282