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

19/09/2019

58.375843

58.224459

18/09/2019

58.181931

58.031050

17/09/2019

58.160962

58.010136

16/09/2019

58.073816

57.923215

13/09/2019

58.067140

57.916556

12/09/2019

58.092978

57.942327

11/09/2019

58.010986

57.860548

10/09/2019

57.864254

57.714197

09/09/2019

57.937811

57.787563

06/09/2019

57.967098

57.816774

05/09/2019

58.011802

57.861362

04/09/2019

57.772926

57.623106

03/09/2019

57.688072

57.538472

02/09/2019

57.832657

57.682682

31/08/2019

57.894066

57.743932

30/08/2019

57.894066

57.743932

29/08/2019

57.707157

57.557507

28/08/2019

57.518758

57.369598

27/08/2019

57.331846

57.183170

26/08/2019

57.237993

57.089561

23/08/2019

57.341777

57.193075

22/08/2019

57.510966

57.361825

21/08/2019

57.499360

57.350250

20/08/2019

57.485731

57.336656

19/08/2019

57.413608

57.264720

16/08/2019

57.168831

57.020577

15/08/2019

56.967646

56.819914

14/08/2019

57.338098

57.189405

13/08/2019

57.528860

57.379673

12/08/2019

57.529721

57.380532