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

13/07/2016

3.725625

3.714482

12/07/2016

3.689397

3.678362

11/07/2016

3.675603

3.664609

08/07/2016

3.607303

3.596513

07/07/2016

3.600667

3.589898

06/07/2016

3.577913

3.567211

05/07/2016

3.603744

3.592965

04/07/2016

3.646073

3.635167

01/07/2016

3.632978

3.622112

30/06/2016

3.606336

3.595549

29/06/2016

3.553312

3.542684

28/06/2016

3.522193

3.511658

27/06/2016

3.549350

3.538733

24/06/2016

3.557623

3.546982

23/06/2016

3.668587

3.657614

22/06/2016

3.669164

3.658189

21/06/2016

3.680082

3.669075

20/06/2016

3.678736

3.667733

17/06/2016

3.614456

3.603645

16/06/2016

3.609394

3.598599

15/06/2016

3.601741

3.590968

14/06/2016

3.641059

3.630168

10/06/2016

3.715875

3.704761

09/06/2016

3.739671

3.728485

08/06/2016

3.738072

3.726891

07/06/2016

3.742130

3.730937

06/06/2016

3.748014

3.736803

03/06/2016

3.748936

3.737723

02/06/2016

3.727357

3.716208

01/06/2016

3.759902

3.748656