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

05/10/2022

47.267095

47.163336

04/10/2022

47.006429

46.903242

30/09/2022

44.971706

44.872985

29/09/2022

44.854850

44.756386

28/09/2022

45.357626

45.258058

27/09/2022

44.872662

44.774159

26/09/2022

44.801663

44.703316

23/09/2022

45.028129

44.929285

21/09/2022

45.856449

45.755786

20/09/2022

46.236156

46.134660

19/09/2022

46.746821

46.644204

16/09/2022

46.612289

46.509967

15/09/2022

47.078264

46.974919

14/09/2022

47.185604

47.082024

13/09/2022

47.207003

47.103376

12/09/2022

48.083615

47.978063

09/09/2022

47.793902

47.688986

08/09/2022

47.553649

47.449261

07/09/2022

47.240195

47.136495

06/09/2022

46.503685

46.401601

05/09/2022

46.380267

46.278454

02/09/2022

46.199297

46.097882

01/09/2022

46.662645

46.560213

31/08/2022

46.627163

46.524808

30/08/2022

46.805898

46.703151

29/08/2022

46.994785

46.891623

26/08/2022

47.128507

47.025052

25/08/2022

48.100332

47.994744

24/08/2022

47.845775

47.740745

23/08/2022

47.503953

47.399674