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

09/08/2021

67.806698

67.644352

06/08/2021

67.769824

67.607566

05/08/2021

67.520601

67.358940

04/08/2021

67.448905

67.287415

03/08/2021

67.460539

67.299022

31/07/2021

67.273695

67.112625

30/07/2021

67.273695

67.112625

29/07/2021

67.226567

67.065609

28/07/2021

67.207726

67.046814

27/07/2021

67.013935

66.853487

26/07/2021

67.088451

66.927824

23/07/2021

67.236813

67.075831

22/07/2021

66.944430

66.784148

21/07/2021

66.845737

66.685692

20/07/2021

66.588146

66.428717

19/07/2021

66.370375

66.211467

16/07/2021

66.682383

66.522729

15/07/2021

66.683223

66.523566

14/07/2021

66.686572

66.526908

13/07/2021

66.667376

66.507757

12/07/2021

66.637016

66.477470

09/07/2021

66.478690

66.319523

08/07/2021

66.568140

66.408758

07/07/2021

66.619048

66.459545

06/07/2021

66.378206

66.219280

05/07/2021

66.461376

66.302250

02/07/2021

66.588097

66.428668

01/07/2021

66.461800

66.302674

30/06/2021

66.342988

66.184146

29/06/2021

66.271652

66.112981