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

16/09/2019

5.075078

5.059898

13/09/2019

5.079382

5.064189

12/09/2019

5.076659

5.061475

11/09/2019

5.051958

5.036848

10/09/2019

5.009644

4.994660

09/09/2019

4.999639

4.984685

06/09/2019

4.976245

4.961361

05/09/2019

4.936364

4.921599

04/09/2019

4.879113

4.864520

03/09/2019

4.885198

4.870586

02/09/2019

4.882062

4.867459

31/08/2019

4.915363

4.900661

30/08/2019

4.915363

4.900661

29/08/2019

4.855456

4.840933

28/08/2019

4.851902

4.837390

27/08/2019

4.829716

4.815270

26/08/2019

4.809050

4.794666

23/08/2019

4.881718

4.867116

22/08/2019

4.846708

4.832211

21/08/2019

4.843610

4.829123

20/08/2019

4.878056

4.863466

19/08/2019

4.819956

4.805539

16/08/2019

4.787634

4.773314

15/08/2019

4.799499

4.785144

14/08/2019

4.936479

4.921714

13/08/2019

4.924215

4.909487

12/08/2019

4.934811

4.920051

09/08/2019

4.923397

4.908671

08/08/2019

4.894510

4.879870

07/08/2019

4.877320

4.862732