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

28/03/2018

9.863536

9.834034

27/03/2018

9.859638

9.830148

26/03/2018

9.792485

9.763195

23/03/2018

9.852106

9.822638

22/03/2018

10.004070

9.974147

21/03/2018

10.022416

9.992438

20/03/2018

9.991797

9.961911

19/03/2018

10.000978

9.971064

16/03/2018

10.003753

9.973831

15/03/2018

9.969321

9.939502

14/03/2018

9.996018

9.966120

13/03/2018

10.061157

10.031063

12/03/2018

10.091273

10.061089

09/03/2018

10.084623

10.054459

08/03/2018

10.069125

10.039008

07/03/2018

10.021306

9.991332

06/03/2018

10.087934

10.057761

05/03/2018

9.971355

9.941530

02/03/2018

9.986114

9.956246

01/03/2018

10.045169

10.015124

28/02/2018

10.080029

10.049880

27/02/2018

10.117334

10.087073

26/02/2018

10.096862

10.066662

23/02/2018

10.043374

10.013334

22/02/2018

10.010902

9.980959

21/02/2018

9.977204

9.947362

20/02/2018

9.981400

9.951545

19/02/2018

9.967146

9.937334

16/02/2018

9.982400

9.952542

15/02/2018

9.987482

9.957609