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

09/12/2019

5.124066

5.108740

06/12/2019

5.113480

5.098186

05/12/2019

5.104659

5.089391

04/12/2019

5.055090

5.039970

03/12/2019

5.125695

5.110364

02/12/2019

5.225275

5.209647

30/11/2019

5.229644

5.214002

29/11/2019

5.229644

5.214002

28/11/2019

5.237355

5.221690

27/11/2019

5.230449

5.214805

26/11/2019

5.184523

5.169016

25/11/2019

5.159316

5.143885

22/11/2019

5.154081

5.138665

21/11/2019

5.130246

5.114901

20/11/2019

5.167136

5.151681

19/11/2019

5.221677

5.206059

18/11/2019

5.205040

5.189471

15/11/2019

5.222291

5.206671

14/11/2019

5.186142

5.170630

13/11/2019

5.153504

5.138090

12/11/2019

5.177589

5.162103

11/11/2019

5.183186

5.167683

08/11/2019

5.155347

5.139927

07/11/2019

5.129381

5.114039

06/11/2019

5.094742

5.079504

05/11/2019

5.118402

5.103093

04/11/2019

5.098996

5.083744

01/11/2019

5.097886

5.082638

31/10/2019

5.109438

5.094155

30/10/2019

5.094513

5.079276