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

24/11/2022

65.875491

65.744003

23/11/2022

65.920225

65.788648

22/11/2022

66.015796

65.884028

21/11/2022

65.856361

65.724911

18/11/2022

65.651801

65.520759

17/11/2022

65.645086

65.514058

16/11/2022

65.355041

65.224592

15/11/2022

65.529333

65.398536

14/11/2022

65.453421

65.322775

11/11/2022

65.721891

65.590710

10/11/2022

65.278830

65.148533

09/11/2022

64.860514

64.731052

08/11/2022

64.680580

64.551477

07/11/2022

64.707266

64.578110

04/11/2022

64.527118

64.398321

03/11/2022

64.717773

64.588596

02/11/2022

64.775266

64.645974

01/11/2022

65.222072

65.091888

31/10/2022

64.908751

64.779193

28/10/2022

64.773883

64.644594

27/10/2022

64.314813

64.186440

26/10/2022

64.273400

64.145110

25/10/2022

64.450591

64.321947

24/10/2022

64.289611

64.161288

21/10/2022

63.805991

63.678634

20/10/2022

63.621872

63.494882

19/10/2022

64.188554

64.060433

18/10/2022

64.389272

64.260750

17/10/2022

63.860935

63.733468

14/10/2022

63.744522

63.617287