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

04/12/2025

2.261561

2.257047

03/12/2025

2.264167

2.259648

02/12/2025

2.262434

2.257918

01/12/2025

2.264106

2.259587

30/11/2025

2.271197

2.266664

28/11/2025

2.271197

2.266664

27/11/2025

2.270743

2.266211

25/11/2025

2.270537

2.266005

24/11/2025

2.258580

2.254072

21/11/2025

2.247351

2.242865

20/11/2025

2.244931

2.240450

19/11/2025

2.245828

2.241345

18/11/2025

2.244912

2.240431

17/11/2025

2.257758

2.253251

14/11/2025

2.257617

2.253111

13/11/2025

2.268057

2.263530

12/11/2025

2.280010

2.275459

11/11/2025

2.281377

2.276823

10/11/2025

2.276336

2.271792

07/11/2025

2.270721

2.266189

06/11/2025

2.273435

2.268897

05/11/2025

2.272731

2.268195

04/11/2025

2.274236

2.269697

03/11/2025

2.282961

2.278404

31/10/2025

2.280275

2.275724

30/10/2025

2.277526

2.272980

29/10/2025

2.280381

2.275829

28/10/2025

2.292720

2.288144

27/10/2025

2.301632

2.297038

24/10/2025

2.300473

2.295881