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

07/03/2019

10.727532

10.695446

06/03/2019

10.669722

10.637809

05/03/2019

10.606735

10.575010

04/03/2019

10.638297

10.606478

01/03/2019

10.591742

10.560062

28/02/2019

10.541293

10.509764

27/02/2019

10.502527

10.471114

26/02/2019

10.442212

10.410979

25/02/2019

10.524474

10.492995

22/02/2019

10.503953

10.472535

21/02/2019

10.442155

10.410922

20/02/2019

10.331784

10.300882

19/02/2019

10.413900

10.382752

18/02/2019

10.362738

10.331743

15/02/2019

10.356158

10.325182

14/02/2019

10.302666

10.271850

13/02/2019

10.372427

10.341403

12/02/2019

10.361157

10.330167

11/02/2019

10.315822

10.284967

08/02/2019

10.376495

10.345459

07/02/2019

10.388163

10.357092

06/02/2019

10.281966

10.251213

05/02/2019

10.213190

10.182642

04/02/2019

10.047603

10.017550

01/02/2019

9.975860

9.946022

31/01/2019

9.984950

9.955085

30/01/2019

10.033532

10.003521

29/01/2019

10.030658

10.000656

25/01/2019

10.095313

10.065117

24/01/2019

10.038601

10.008575