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

23/01/2019

10.000877

9.970964

22/01/2019

10.015207

9.985252

21/01/2019

10.071968

10.041842

18/01/2019

10.027646

9.997653

17/01/2019

9.974926

9.945090

16/01/2019

9.963031

9.933231

15/01/2019

9.919813

9.890143

14/01/2019

9.887014

9.857442

11/01/2019

9.900680

9.871067

10/01/2019

9.932710

9.903001

09/01/2019

9.895029

9.865433

08/01/2019

9.837398

9.807974

07/01/2019

9.782440

9.753180

04/01/2019

9.690739

9.661754

03/01/2019

9.731955

9.702846

02/01/2019

9.605124

9.576395

31/12/2018

9.689159

9.660179

28/12/2018

9.693549

9.664555

27/12/2018

9.588913

9.560232

24/12/2018

9.438771

9.410540

21/12/2018

9.397308

9.369201

20/12/2018

9.506672

9.478238

19/12/2018

9.589190

9.560509

18/12/2018

9.598479

9.569769

17/12/2018

9.717513

9.688448

14/12/2018

9.679615

9.650663

13/12/2018

9.730005

9.700902

12/12/2018

9.714730

9.685673

11/12/2018

9.628422

9.599623

10/12/2018

9.611438

9.582690