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

18/03/2016

1.907002

1.900919

17/03/2016

1.904011

1.897938

16/03/2016

1.899427

1.893368

15/03/2016

1.896195

1.890146

14/03/2016

1.901188

1.895124

11/03/2016

1.897278

1.891226

10/03/2016

1.893140

1.887101

09/03/2016

1.889999

1.883970

08/03/2016

1.891565

1.885531

07/03/2016

1.895262

1.889217

04/03/2016

1.897967

1.891913

03/03/2016

1.897427

1.891375

02/03/2016

1.894007

1.887965

01/03/2016

1.888929

1.882904

29/02/2016

1.880478

1.874479

26/02/2016

1.879301

1.873306

25/02/2016

1.872063

1.866091

24/02/2016

1.865461

1.859511

23/02/2016

1.873112

1.867137

22/02/2016

1.879051

1.873057

19/02/2016

1.874067

1.868089

18/02/2016

1.874983

1.869002

17/02/2016

1.868859

1.862898

16/02/2016

1.869595

1.863631

15/02/2016

1.857880

1.851954

12/02/2016

1.840338

1.834468

11/02/2016

1.843021

1.837142

10/02/2016

1.846493

1.840603

09/02/2016

1.853979

1.848065

08/02/2016

1.873622

1.867646