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

17/11/2022

6.618538

6.602033

16/11/2022

6.589659

6.573226

15/11/2022

6.593732

6.577289

14/11/2022

6.598650

6.582195

11/11/2022

6.621275

6.604763

10/11/2022

6.604108

6.587639

09/11/2022

6.605394

6.588922

08/11/2022

6.573135

6.556743

07/11/2022

6.575816

6.559417

04/11/2022

6.552980

6.536638

03/11/2022

6.575165

6.558768

02/11/2022

6.598797

6.582341

01/11/2022

6.610566

6.594081

31/10/2022

6.578191

6.561787

28/10/2022

6.551432

6.535094

27/10/2022

6.525003

6.508731

26/10/2022

6.504310

6.488090

25/10/2022

6.512307

6.496067

24/10/2022

6.502903

6.486686

21/10/2022

6.439030

6.422973

20/10/2022

6.441074

6.425011

19/10/2022

6.482362

6.466197

18/10/2022

6.490344

6.474159

17/10/2022

6.446121

6.430046

14/10/2022

6.460908

6.444796

13/10/2022

6.441695

6.425631

12/10/2022

6.412175

6.396185

11/10/2022

6.413342

6.397349

10/10/2022

6.426119

6.410094

07/10/2022

6.425338

6.409315