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

12/02/2019

5.001600

4.984652

11/02/2019

4.987886

4.970985

08/02/2019

4.989222

4.972316

07/02/2019

4.986487

4.969590

06/02/2019

4.980158

4.963283

05/02/2019

4.951916

4.935136

04/02/2019

4.922561

4.905881

01/02/2019

4.906792

4.890166

31/01/2019

4.899552

4.882950

30/01/2019

4.906763

4.890137

29/01/2019

4.902281

4.885670

25/01/2019

4.915269

4.898613

24/01/2019

4.898488

4.881890

23/01/2019

4.888034

4.871471

22/01/2019

4.888163

4.871600

21/01/2019

4.905376

4.888754

18/01/2019

4.894614

4.878029

17/01/2019

4.874282

4.857766

16/01/2019

4.866235

4.849746

15/01/2019

4.849998

4.833564

14/01/2019

4.838231

4.821837

11/01/2019

4.845940

4.829520

10/01/2019

4.851227

4.834789

09/01/2019

4.841224

4.824820

08/01/2019

4.822927

4.806585

07/01/2019

4.807797

4.791506

04/01/2019

4.793903

4.777659

03/01/2019

4.793979

4.777735

02/01/2019

4.768915

4.752756

31/12/2018

4.773649

4.757474