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

12/12/2019

59.047527

58.894402

11/12/2019

59.165154

59.011724

10/12/2019

59.203161

59.049632

09/12/2019

59.224474

59.070890

06/12/2019

59.231222

59.077620

05/12/2019

59.079635

58.926426

04/12/2019

58.875937

58.723256

03/12/2019

59.013384

58.860348

02/12/2019

59.353764

59.199844

30/11/2019

59.641664

59.486998

29/11/2019

59.641664

59.486998

28/11/2019

59.723940

59.569060

27/11/2019

59.658054

59.503345

26/11/2019

59.449344

59.295177

25/11/2019

59.321920

59.168083

22/11/2019

59.105554

58.952278

21/11/2019

59.017080

58.864034

20/11/2019

59.154584

59.001180

19/11/2019

59.300055

59.146275

18/11/2019

59.210454

59.056906

15/11/2019

59.234448

59.080837

14/11/2019

59.101409

58.948144

13/11/2019

58.856868

58.704237

12/11/2019

58.928864

58.776046

11/11/2019

58.903962

58.751209

08/11/2019

58.799496

58.647014

07/11/2019

58.770548

58.618140

06/11/2019

58.611318

58.459323

05/11/2019

58.676624

58.524460

04/11/2019

58.690682

58.538482