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

Morningstar Growth Real Return

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

18/01/2023

2.705853

2.700722

17/01/2023

2.709122

2.703984

16/01/2023

2.715674

2.710524

13/01/2023

2.715259

2.710110

12/01/2023

2.705069

2.699939

11/01/2023

2.687764

2.682667

10/01/2023

2.672794

2.667725

09/01/2023

2.660581

2.655535

06/01/2023

2.661112

2.656065

05/01/2023

2.646955

2.641935

04/01/2023

2.634394

2.629398

03/01/2023

2.621706

2.616734

31/12/2022

2.600823

2.595891

30/12/2022

2.600823

2.595891

29/12/2022

2.608542

2.603595

28/12/2022

2.597704

2.592778

23/12/2022

2.618630

2.613664

22/12/2022

2.621898

2.616926

21/12/2022

2.621105

2.616134

20/12/2022

2.608366

2.603420

19/12/2022

2.598610

2.593682

16/12/2022

2.607783

2.602838

15/12/2022

2.610792

2.605841

14/12/2022

2.632894

2.627901

13/12/2022

2.629402

2.624416

12/12/2022

2.630677

2.625688

09/12/2022

2.631627

2.626636

08/12/2022

2.626073

2.621093

07/12/2022

2.623717

2.618741

06/12/2022

2.641885

2.636875