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

24/01/2018

52.451661

52.315640

23/01/2018

52.591819

52.455435

22/01/2018

52.370228

52.234418

19/01/2018

52.343032

52.207294

18/01/2018

52.338638

52.202911

17/01/2018

52.362803

52.227013

16/01/2018

52.360668

52.224883

15/01/2018

52.384065

52.248219

12/01/2018

52.510374

52.374202

11/01/2018

52.465902

52.329845

10/01/2018

52.515159

52.378973

09/01/2018

52.687001

52.550370

08/01/2018

52.663648

52.527078

05/01/2018

52.588769

52.452392

04/01/2018

52.417554

52.281622

03/01/2018

52.367141

52.231340

02/01/2018

52.289209

52.153610

31/12/2017

52.199014

52.063648

29/12/2017

52.199014

52.063648

28/12/2017

52.300672

52.165042

27/12/2017

52.221235

52.085812

22/12/2017

52.285636

52.150046

21/12/2017

52.317285

52.181613

20/12/2017

52.396974

52.261095

19/12/2017

52.465237

52.329181

18/12/2017

52.430431

52.294465

15/12/2017

52.266128

52.130589

14/12/2017

52.211842

52.076443

13/12/2017

52.383705

52.247860

12/12/2017

52.439723

52.303733