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

Perpetual Balanced Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

12/09/2019

5.338659

5.320569

11/09/2019

5.334560

5.316484

10/09/2019

5.312950

5.294947

09/09/2019

5.305588

5.287610

06/09/2019

5.300916

5.282954

05/09/2019

5.303121

5.285152

04/09/2019

5.282970

5.265069

03/09/2019

5.277544

5.259661

02/09/2019

5.288774

5.270853

31/08/2019

5.298203

5.280250

30/08/2019

5.298203

5.280250

29/08/2019

5.273664

5.255794

28/08/2019

5.257273

5.239459

27/08/2019

5.241596

5.223835

26/08/2019

5.234419

5.216682

23/08/2019

5.246125

5.228349

22/08/2019

5.260994

5.243167

21/08/2019

5.256599

5.238787

20/08/2019

5.262888

5.245055

19/08/2019

5.255855

5.238046

16/08/2019

5.234620

5.216882

15/08/2019

5.222702

5.205005

14/08/2019

5.274065

5.256194

13/08/2019

5.294040

5.276101

12/08/2019

5.297476

5.279525

09/08/2019

5.298307

5.280354

08/08/2019

5.299416

5.281459

07/08/2019

5.280850

5.262956

06/08/2019

5.256350

5.238539

02/08/2019

5.338569

5.320479