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

Pendal Property Securities

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

29/09/2021

2.839771

2.825643

28/09/2021

2.870740

2.856458

27/09/2021

2.929880

2.915303

24/09/2021

2.909073

2.894600

23/09/2021

2.975615

2.960811

22/09/2021

2.950529

2.935850

21/09/2021

2.920603

2.906073

20/09/2021

2.918191

2.903673

17/09/2021

2.963142

2.948400

16/09/2021

2.951032

2.936350

15/09/2021

2.935263

2.920659

14/09/2021

2.904953

2.890500

13/09/2021

2.879489

2.865163

10/09/2021

2.891671

2.877284

09/09/2021

2.892480

2.878089

08/09/2021

2.920604

2.906073

07/09/2021

2.954839

2.940139

06/09/2021

2.956746

2.942036

03/09/2021

2.947085

2.932423

02/09/2021

2.933737

2.919142

01/09/2021

2.928432

2.913863

31/08/2021

2.927657

2.913092

30/08/2021

2.892841

2.878449

27/08/2021

2.881636

2.867300

26/08/2021

2.875612

2.861306

25/08/2021

2.879140

2.864816

24/08/2021

2.894076

2.879677

23/08/2021

2.881953

2.867615

20/08/2021

2.855276

2.841071

19/08/2021

2.828591

2.814518