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

29/05/2020

5.133531

5.116646

28/05/2020

5.148574

5.131128

27/05/2020

5.139639

5.122224

26/05/2020

5.102228

5.084939

25/05/2020

5.061463

5.044312

22/05/2020

5.022927

5.005907

21/05/2020

5.040228

5.023149

20/05/2020

5.040415

5.023336

19/05/2020

5.025908

5.008878

18/05/2020

5.023865

5.006842

15/05/2020

4.979438

4.962565

14/05/2020

4.947475

4.930711

13/05/2020

4.961075

4.944264

12/05/2020

4.980315

4.963440

11/05/2020

5.019211

5.002203

08/05/2020

4.995722

4.978795

07/05/2020

4.982749

4.964875

06/05/2020

4.977835

4.959979

05/05/2020

4.994290

4.976375

04/05/2020

4.964956

4.947146

01/05/2020

4.974683

4.956838

30/04/2020

5.039609

5.021531

29/04/2020

5.011460

4.993484

28/04/2020

4.960318

4.942525

27/04/2020

4.948492

4.930741

24/04/2020

4.921194

4.903541

23/04/2020

4.913933

4.893869

22/04/2020

4.919906

4.899816

21/04/2020

4.904755

4.884728

20/04/2020

4.954330

4.934100