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

27/06/2019

57.007212

56.859378

26/06/2019

56.955288

56.807588

25/06/2019

57.080993

56.932967

24/06/2019

57.242028

57.093584

21/06/2019

57.331969

57.183292

20/06/2019

57.393422

57.244586

19/06/2019

57.288232

57.139668

18/06/2019

57.079378

56.931356

17/06/2019

56.854690

56.707251

14/06/2019

56.796281

56.648993

13/06/2019

56.773293

56.626065

12/06/2019

56.651592

56.504680

11/06/2019

56.700458

56.553419

07/06/2019

56.297829

56.151834

06/06/2019

56.114589

55.969069

05/06/2019

55.990173

55.844976

04/06/2019

55.865517

55.720643

03/06/2019

55.691620

55.547197

31/05/2019

55.843512

55.698696

30/05/2019

55.985183

55.839999

29/05/2019

56.028282

55.882987

28/05/2019

56.203451

56.057701

27/05/2019

56.242519

56.096667

24/05/2019

56.258743

56.112849

23/05/2019

56.325776

56.179709

22/05/2019

56.511827

56.365277

21/05/2019

56.495497

56.348990

20/05/2019

56.216910

56.071125

17/05/2019

56.266982

56.121067

16/05/2019

56.228273

56.082459