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 Concentrated Equity

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

06/10/2016

3.892781

3.881138

05/10/2016

3.863177

3.851622

04/10/2016

3.868233

3.856663

30/09/2016

3.834839

3.823369

29/09/2016

3.848395

3.836885

28/09/2016

3.808869

3.797477

27/09/2016

3.798719

3.787357

26/09/2016

3.830544

3.819086

23/09/2016

3.845331

3.833830

22/09/2016

3.808640

3.797248

21/09/2016

3.796920

3.785563

20/09/2016

3.775916

3.764622

19/09/2016

3.773095

3.761810

16/09/2016

3.780036

3.768730

15/09/2016

3.749446

3.738231

14/09/2016

3.744543

3.733343

13/09/2016

3.741165

3.729975

12/09/2016

3.748081

3.736870

09/09/2016

3.811527

3.800126

08/09/2016

3.825664

3.814221

07/09/2016

3.856706

3.845170

06/09/2016

3.842393

3.830900

05/09/2016

3.849325

3.837812

02/09/2016

3.811089

3.799690

01/09/2016

3.827932

3.816483

31/08/2016

3.836368

3.824894

30/08/2016

3.856271

3.844737

29/08/2016

3.870347

3.858771

26/08/2016

3.903386

3.891711

25/08/2016

3.914150

3.902443