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

17/11/2017

10.108940

10.078704

16/11/2017

10.083496

10.053336

15/11/2017

10.035027

10.005012

14/11/2017

10.071199

10.041076

13/11/2017

10.098256

10.068052

10/11/2017

10.069894

10.039774

09/11/2017

10.050190

10.020129

08/11/2017

10.015115

9.985159

07/11/2017

10.000292

9.970381

06/11/2017

9.945419

9.915672

03/11/2017

9.936718

9.906997

02/11/2017

9.907319

9.877686

01/11/2017

9.935911

9.906192

31/10/2017

9.905884

9.876255

30/10/2017

9.895227

9.865630

27/10/2017

9.853462

9.823990

26/10/2017

9.869446

9.839926

25/10/2017

9.848804

9.819346

24/10/2017

9.828078

9.798682

23/10/2017

9.845867

9.816418

20/10/2017

9.860223

9.830731

19/10/2017

9.846969

9.817517

18/10/2017

9.815034

9.785677

17/10/2017

9.835938

9.806519

16/10/2017

9.792244

9.762955

13/10/2017

9.752301

9.723131

12/10/2017

9.719877

9.690804

11/10/2017

9.697856

9.668849

10/10/2017

9.652720

9.623848

09/10/2017

9.656876

9.627993