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

16/01/2019

2.223987

2.219548

15/01/2019

2.219589

2.215159

14/01/2019

2.214802

2.210382

11/01/2019

2.218776

2.214347

10/01/2019

2.218853

2.214424

09/01/2019

2.217390

2.212964

08/01/2019

2.212358

2.207942

07/01/2019

2.210136

2.205725

04/01/2019

2.201342

2.196948

03/01/2019

2.200537

2.196145

02/01/2019

2.197949

2.193562

31/12/2018

2.197232

2.192846

28/12/2018

2.193720

2.189341

27/12/2018

2.184402

2.180042

24/12/2018

2.179472

2.175122

21/12/2018

2.179891

2.175539

20/12/2018

2.184856

2.180495

19/12/2018

2.191675

2.187301

18/12/2018

2.189547

2.185177

17/12/2018

2.198342

2.193954

14/12/2018

2.203011

2.198614

13/12/2018

2.208237

2.203830

12/12/2018

2.207197

2.202791

11/12/2018

2.196031

2.191648

10/12/2018

2.195930

2.191547

07/12/2018

2.208905

2.204496

06/12/2018

2.206477

2.202073

05/12/2018

2.217447

2.213020

04/12/2018

2.214818

2.210397

03/12/2018

2.224629

2.220189