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Unit Prices

Balanced Option

Perpetual Select Account Based Pension Plan

As of Date Entry Price Exit Price

12/02/2025

82.219499

82.055388

11/02/2025

82.262653

82.098456

10/02/2025

82.288205

82.123957

07/02/2025

82.320659

82.156346

06/02/2025

82.501668

82.336994

05/02/2025

82.193784

82.029725

04/02/2025

82.096235

81.932370

03/02/2025

82.196980

82.032914

31/01/2025

82.626616

82.461693

30/01/2025

82.635894

82.470952

29/01/2025

82.346499

82.182135

28/01/2025

82.158484

81.994495

24/01/2025

81.628496

81.465565

23/01/2025

81.760137

81.596943

22/01/2025

81.801898

81.638621

21/01/2025

81.718853

81.555742

20/01/2025

81.310246

81.147950

17/01/2025

81.317442

81.155132

16/01/2025

81.190562

81.028505

15/01/2025

80.720690

80.559571

14/01/2025

80.473084

80.312459

13/01/2025

80.477775

80.317141

10/01/2025

80.878986

80.717551

09/01/2025

81.185824

81.023776

08/01/2025

81.118003

80.956091

07/01/2025

80.894414

80.732948

06/01/2025

80.965120

80.803513

03/01/2025

81.066814

80.905004

02/01/2025

80.735897

80.574748

31/12/2024

80.807048

80.645756