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

22/12/2021

3.055814

3.040611

21/12/2021

3.081717

3.066385

20/12/2021

3.092649

3.077263

17/12/2021

3.094729

3.079332

16/12/2021

3.082602

3.067266

15/12/2021

3.060309

3.045084

14/12/2021

3.108633

3.093167

13/12/2021

3.076170

3.060866

10/12/2021

3.033254

3.018163

09/12/2021

3.035155

3.020055

08/12/2021

3.034708

3.019610

07/12/2021

3.013380

2.998388

06/12/2021

2.971114

2.956332

03/12/2021

2.951703

2.937018

02/12/2021

2.950661

2.935981

01/12/2021

2.953916

2.939220

30/11/2021

2.989295

2.974423

29/11/2021

2.963782

2.949037

26/11/2021

3.001980

2.987045

25/11/2021

3.030421

3.015344

24/11/2021

3.010086

2.995110

23/11/2021

3.009286

2.994314

22/11/2021

2.971585

2.956801

19/11/2021

2.987875

2.973010

18/11/2021

2.975306

2.960503

17/11/2021

2.942847

2.928206

16/11/2021

2.933510

2.918915

15/11/2021

2.942890

2.928249

12/11/2021

2.938088

2.923471

11/11/2021

2.932020

2.917433