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

08/05/2015

4.262956

4.248511

07/05/2015

4.244877

4.230493

06/05/2015

4.250762

4.236359

05/05/2015

4.290447

4.275908

04/05/2015

4.314856

4.300235

01/05/2015

4.305903

4.291312

30/04/2015

4.285499

4.270978

29/04/2015

4.288768

4.274236

28/04/2015

4.324631

4.309977

27/04/2015

4.352201

4.337454

24/04/2015

4.340298

4.325591

23/04/2015

4.324489

4.309836

22/04/2015

4.320814

4.306173

21/04/2015

4.325185

4.310529

20/04/2015

4.314358

4.299739

17/04/2015

4.314989

4.300368

16/04/2015

4.343966

4.329247

15/04/2015

4.348621

4.333886

14/04/2015

4.348866

4.334130

13/04/2015

4.359932

4.345159

10/04/2015

4.348168

4.333435

09/04/2015

4.332272

4.317592

08/04/2015

4.332336

4.317656

07/04/2015

4.324021

4.309369

02/04/2015

4.313878

4.299260

01/04/2015

4.291164

4.276624

31/03/2015

4.294567

4.280015

30/03/2015

4.289462

4.274928

27/03/2015

4.274650

4.260165

26/03/2015

4.262075

4.247633