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

Diversified Option

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

14/12/2021

1.902167

1.897613

13/12/2021

1.905472

1.900910

10/12/2021

1.901854

1.897300

09/12/2021

1.903698

1.899140

08/12/2021

1.907162

1.902596

07/12/2021

1.904580

1.900020

06/12/2021

1.896614

1.892073

03/12/2021

1.892629

1.888098

02/12/2021

1.888207

1.883686

01/12/2021

1.877012

1.872518

30/11/2021

1.886254

1.881738

29/11/2021

1.892081

1.887551

26/11/2021

1.892395

1.887864

25/11/2021

1.905289

1.900727

24/11/2021

1.903775

1.899217

23/11/2021

1.901597

1.897044

22/11/2021

1.899516

1.894968

19/11/2021

1.905970

1.901407

18/11/2021

1.906698

1.902133

17/11/2021

1.903973

1.899414

16/11/2021

1.903244

1.898687

15/11/2021

1.903297

1.898740

12/11/2021

1.904740

1.900180

11/11/2021

1.900777

1.896226

10/11/2021

1.899397

1.894849

09/11/2021

1.903825

1.899267

08/11/2021

1.901773

1.897220

05/11/2021

1.900262

1.895712

04/11/2021

1.895938

1.891399

03/11/2021

1.889857

1.885332