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

Perpetual Balanced Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

21/06/2021

6.190689

6.172173

18/06/2021

6.214960

6.196371

17/06/2021

6.231270

6.212632

16/06/2021

6.237892

6.219234

15/06/2021

6.248689

6.229999

11/06/2021

6.234438

6.215790

10/06/2021

6.218271

6.199672

09/06/2021

6.216711

6.198116

08/06/2021

6.223668

6.205053

07/06/2021

6.213168

6.194585

04/06/2021

6.228821

6.210190

03/06/2021

6.223426

6.204812

02/06/2021

6.194942

6.176412

01/06/2021

6.162986

6.144552

31/05/2021

6.158293

6.139874

28/05/2021

6.173899

6.155433

27/05/2021

6.126093

6.107770

26/05/2021

6.129629

6.111295

25/05/2021

6.131476

6.113136

24/05/2021

6.118978

6.100676

21/05/2021

6.114764

6.096475

20/05/2021

6.103576

6.085320

19/05/2021

6.086037

6.067834

18/05/2021

6.125454

6.107132

17/05/2021

6.113723

6.095436

14/05/2021

6.116388

6.098094

13/05/2021

6.089575

6.071361

12/05/2021

6.094986

6.076756

11/05/2021

6.116553

6.098258

10/05/2021

6.161191

6.142763