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

21/01/2016

4.079545

4.065722

20/01/2016

4.078647

4.064827

19/01/2016

4.104271

4.090364

18/01/2016

4.097663

4.083778

15/01/2016

4.108851

4.094928

14/01/2016

4.130681

4.116684

13/01/2016

4.134985

4.120974

12/01/2016

4.128054

4.114067

11/01/2016

4.127449

4.113463

08/01/2016

4.144747

4.130702

07/01/2016

4.150476

4.136412

06/01/2016

4.191693

4.177490

05/01/2016

4.210265

4.195999

04/01/2016

4.225349

4.211031

31/12/2015

4.231398

4.217060

30/12/2015

4.244332

4.229951

29/12/2015

4.238493

4.224131

24/12/2015

4.218752

4.204457

23/12/2015

4.203112

4.188870

22/12/2015

4.180075

4.165911

21/12/2015

4.174872

4.160726

18/12/2015

4.170885

4.156752

17/12/2015

4.185165

4.170983

16/12/2015

4.167868

4.153745

15/12/2015

4.132744

4.118740

14/12/2015

4.118928

4.104972

11/12/2015

4.149267

4.135207

10/12/2015

4.165637

4.151522

09/12/2015

4.179695

4.165532

08/12/2015

4.191815

4.177611