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 WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

26/07/2022

6.096316

6.081720

25/07/2022

6.095504

6.080910

22/07/2022

6.090880

6.076297

21/07/2022

6.117989

6.103341

20/07/2022

6.080562

6.066004

19/07/2022

5.990439

5.976096

18/07/2022

6.010849

5.996458

15/07/2022

5.948007

5.933766

14/07/2022

5.989236

5.974896

13/07/2022

5.943052

5.928823

12/07/2022

5.933373

5.919167

11/07/2022

5.957755

5.943491

08/07/2022

6.013556

5.999158

07/07/2022

5.990587

5.976244

06/07/2022

5.959398

5.945130

05/07/2022

6.007901

5.993517

04/07/2022

6.020061

6.005647

01/07/2022

5.953722

5.939467

30/06/2022

5.902068

5.887937

29/06/2022

5.992987

5.978638

28/06/2022

6.031722

6.017281

27/06/2022

6.011524

5.997131

24/06/2022

5.926365

5.912176

23/06/2022

5.907560

5.893416

22/06/2022

5.892786

5.878677

21/06/2022

5.906876

5.892733

20/06/2022

5.827245

5.813293

17/06/2022

5.848083

5.834081

16/06/2022

5.920777

5.906601

15/06/2022

5.953768

5.939513