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

12/07/2022

6.280209

6.264548

11/07/2022

6.293425

6.277731

08/07/2022

6.277755

6.262100

07/07/2022

6.279952

6.264291

06/07/2022

6.293986

6.278290

05/07/2022

6.304810

6.289087

04/07/2022

6.312466

6.296724

01/07/2022

6.313212

6.297468

30/06/2022

6.258978

6.243370

29/06/2022

6.309999

6.294263

28/06/2022

6.324777

6.309004

27/06/2022

6.313214

6.297470

24/06/2022

6.281850

6.266185

23/06/2022

6.240924

6.225361

22/06/2022

6.230160

6.214623

21/06/2022

6.221502

6.205987

20/06/2022

6.183964

6.168543

17/06/2022

6.199220

6.183761

16/06/2022

6.225584

6.210059

15/06/2022

6.264649

6.249026

14/06/2022

6.307937

6.292206

10/06/2022

6.414726

6.398729

09/06/2022

6.469817

6.453683

08/06/2022

6.502501

6.486285

07/06/2022

6.505878

6.489654

06/06/2022

6.519271

6.503013

03/06/2022

6.526068

6.509794

02/06/2022

6.526108

6.509833

01/06/2022

6.544384

6.528064

31/05/2022

6.567138

6.550761