What can we help you find?
Search by Topic

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

International Shares

Perpetual Select Account Based Pension Plan

As of Date Entry Price Exit Price

27/05/2022

47.472841

47.368630

26/05/2022

47.012593

46.909392

25/05/2022

46.236614

46.135117

24/05/2022

45.873119

45.772420

23/05/2022

46.201818

46.100397

20/05/2022

46.062130

45.961016

19/05/2022

45.849379

45.748732

18/05/2022

46.131171

46.029905

17/05/2022

47.372646

47.268655

16/05/2022

46.873649

46.770753

13/05/2022

47.191361

47.087768

12/05/2022

46.317139

46.215465

11/05/2022

45.669182

45.568930

10/05/2022

46.339076

46.237354

09/05/2022

45.946036

45.845177

06/05/2022

46.723936

46.621369

05/05/2022

47.160974

47.057448

04/05/2022

48.508783

48.402298

03/05/2022

48.028478

47.923047

02/05/2022

48.166641

48.060907

30/04/2022

47.708141

47.603413

29/04/2022

47.708141

47.603413

28/04/2022

48.675480

48.568629

27/04/2022

47.709644

47.604913

26/04/2022

47.446935

47.342781

22/04/2022

47.989780

47.884434

21/04/2022

48.252008

48.146087

20/04/2022

48.508201

48.401717

19/04/2022

48.802493

48.695363

14/04/2022

48.291143

48.185136