What can we help you find?
Search by Topic

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 Industrial Share

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/10/2021

16.675595

16.625718

01/10/2021

16.484304

16.434999

30/09/2021

16.692337

16.642410

29/09/2021

16.491318

16.441992

28/09/2021

16.605217

16.555550

27/09/2021

16.726253

16.676224

24/09/2021

16.636204

16.586444

23/09/2021

16.647769

16.597975

22/09/2021

16.513155

16.463763

21/09/2021

16.565828

16.516279

20/09/2021

16.480407

16.431113

17/09/2021

16.778522

16.728337

16/09/2021

16.788338

16.738124

15/09/2021

16.638837

16.589069

14/09/2021

16.676296

16.626417

13/09/2021

16.601192

16.551537

10/09/2021

16.632317

16.582569

09/09/2021

16.557594

16.508070

08/09/2021

16.835628

16.785272

07/09/2021

16.807711

16.757438

06/09/2021

16.743880

16.693799

03/09/2021

16.692201

16.642274

02/09/2021

16.608864

16.559187

01/09/2021

16.605528

16.555861

31/08/2021

16.548259

16.498763

30/08/2021

16.490024

16.440702

27/08/2021

16.517893

16.468488

26/08/2021

16.526876

16.477444

25/08/2021

16.522915

16.473495

24/08/2021

16.424191

16.375066