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

03/02/2020

1.703883

1.699803

31/01/2020

1.706134

1.702049

30/01/2020

1.707993

1.703904

29/01/2020

1.706640

1.702554

28/01/2020

1.704362

1.700281

24/01/2020

1.705948

1.701863

23/01/2020

1.705795

1.701711

22/01/2020

1.707604

1.703516

21/01/2020

1.703713

1.699634

20/01/2020

1.704354

1.700273

17/01/2020

1.704063

1.699983

16/01/2020

1.701425

1.697352

15/01/2020

1.697560

1.693496

14/01/2020

1.694577

1.690520

13/01/2020

1.692951

1.688898

10/01/2020

1.691562

1.687512

09/01/2020

1.692393

1.688341

08/01/2020

1.688680

1.684637

07/01/2020

1.688522

1.684479

06/01/2020

1.682660

1.678632

03/01/2020

1.682036

1.678009

02/01/2020

1.677501

1.673485

31/12/2019

1.671776

1.667774

30/12/2019

1.677418

1.673401

27/12/2019

1.678827

1.674807

24/12/2019

1.677733

1.673716

23/12/2019

1.677423

1.673407

20/12/2019

1.679309

1.675288

19/12/2019

1.680116

1.676093

18/12/2019

1.680907

1.676883