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

13/02/2017

4.496338

4.481103

10/02/2017

4.479717

4.464538

09/02/2017

4.466333

4.451199

08/02/2017

4.457553

4.442449

07/02/2017

4.442926

4.427871

06/02/2017

4.440921

4.425873

03/02/2017

4.437330

4.422294

02/02/2017

4.439626

4.424583

01/02/2017

4.458690

4.443581

31/01/2017

4.450404

4.435324

30/01/2017

4.466882

4.451746

27/01/2017

4.483627

4.468435

25/01/2017

4.472217

4.457063

24/01/2017

4.453618

4.438527

23/01/2017

4.439415

4.424372

20/01/2017

4.452382

4.437295

19/01/2017

4.461888

4.446769

18/01/2017

4.466334

4.451200

17/01/2017

4.468728

4.453586

16/01/2017

4.490366

4.475151

13/01/2017

4.487653

4.472447

12/01/2017

4.496130

4.480895

11/01/2017

4.507144

4.491872

10/01/2017

4.503167

4.487909

09/01/2017

4.519077

4.503765

06/01/2017

4.519905

4.504590

05/01/2017

4.514438

4.499141

04/01/2017

4.517789

4.502480

03/01/2017

4.518220

4.502910

31/12/2016

4.483681

4.468488