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

Perpetual Australian Shares

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/10/2017

9.567360

9.538744

04/10/2017

9.576019

9.547377

03/10/2017

9.635143

9.606324

30/09/2017

9.607380

9.578644

29/09/2017

9.607380

9.578644

28/09/2017

9.598851

9.570141

27/09/2017

9.571395

9.542766

26/09/2017

9.597895

9.569187

25/09/2017

9.622023

9.593243

22/09/2017

9.621545

9.592766

21/09/2017

9.578081

9.549433

20/09/2017

9.626332

9.597539

19/09/2017

9.653443

9.624569

18/09/2017

9.643621

9.614777

15/09/2017

9.587452

9.558775

14/09/2017

9.623822

9.595037

13/09/2017

9.623537

9.594752

12/09/2017

9.632816

9.604004

11/09/2017

9.563394

9.534789

08/09/2017

9.506408

9.477974

07/09/2017

9.540016

9.511481

06/09/2017

9.520369

9.491893

05/09/2017

9.554482

9.525905

04/09/2017

9.541464

9.512925

01/09/2017

9.563663

9.535058

31/08/2017

9.552448

9.523877

30/08/2017

9.485360

9.456989

29/08/2017

9.475920

9.447577

28/08/2017

9.553749

9.525173

25/08/2017

9.596830

9.568125