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 Australian Share

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

07/03/2017

9.521810

9.493330

06/03/2017

9.485982

9.457609

03/03/2017

9.459915

9.431620

02/03/2017

9.523167

9.494683

01/03/2017

9.394777

9.366677

28/02/2017

9.413079

9.384924

27/02/2017

9.434357

9.406138

24/02/2017

9.482253

9.453892

23/02/2017

9.522082

9.493601

22/02/2017

9.561153

9.532556

21/02/2017

9.519916

9.491441

20/02/2017

9.504896

9.476466

17/02/2017

9.491972

9.463581

16/02/2017

9.517158

9.488692

15/02/2017

9.512469

9.484016

14/02/2017

9.427934

9.399735

13/02/2017

9.435146

9.406925

10/02/2017

9.389443

9.361359

09/02/2017

9.304682

9.276852

08/02/2017

9.318402

9.290530

07/02/2017

9.241371

9.213730

06/02/2017

9.246893

9.219235

03/02/2017

9.244176

9.216527

02/02/2017

9.303183

9.275357

01/02/2017

9.319077

9.291203

31/01/2017

9.305030

9.277198

30/01/2017

9.375467

9.347425

27/01/2017

9.434760

9.406540

25/01/2017

9.351932

9.323960

24/01/2017

9.313376

9.285520