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

08/12/2016

9.291049

9.263259

07/12/2016

9.149365

9.121999

06/12/2016

9.062901

9.035794

05/12/2016

9.025606

8.998611

02/12/2016

9.112900

9.085643

01/12/2016

9.191260

9.163769

30/11/2016

9.110245

9.082996

29/11/2016

9.132666

9.105350

28/11/2016

9.158111

9.130719

25/11/2016

9.209512

9.181966

24/11/2016

9.154388

9.127007

23/11/2016

9.219604

9.192028

22/11/2016

9.131421

9.104108

21/11/2016

9.059156

9.032059

18/11/2016

9.064773

9.037660

17/11/2016

9.003539

8.976609

16/11/2016

9.048857

9.021792

15/11/2016

9.048169

9.021105

14/11/2016

9.007606

8.980664

11/11/2016

9.016276

8.989308

10/11/2016

8.928847

8.902141

09/11/2016

8.654244

8.628359

08/11/2016

8.840432

8.813990

07/11/2016

8.846148

8.819689

04/11/2016

8.755356

8.729169

03/11/2016

8.799765

8.773445

02/11/2016

8.864565

8.838051

01/11/2016

9.010288

8.983338

31/10/2016

9.057255

9.030165

28/10/2016

9.042726

9.015679