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 Industrial Share

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

19/11/2019

14.251655

14.209028

18/11/2019

14.198097

14.155630

15/11/2019

14.242264

14.199665

14/11/2019

14.154650

14.112313

13/11/2019

14.064346

14.022279

12/11/2019

14.153682

14.111348

11/11/2019

14.172827

14.130436

08/11/2019

14.085819

14.043688

07/11/2019

14.068187

14.026109

06/11/2019

13.954214

13.912476

05/11/2019

14.046659

14.004645

04/11/2019

13.982075

13.940254

01/11/2019

14.025938

13.983986

31/10/2019

14.022797

13.980854

30/10/2019

14.063054

14.020991

29/10/2019

14.170492

14.128107

28/10/2019

14.176726

14.134323

25/10/2019

14.208874

14.166375

24/10/2019

14.148182

14.105865

23/10/2019

14.117101

14.074876

22/10/2019

14.121086

14.078850

21/10/2019

14.098543

14.056374

18/10/2019

14.059277

14.017225

17/10/2019

14.135306

14.093026

16/10/2019

14.200920

14.158445

15/10/2019

14.006422

13.964529

14/10/2019

13.977724

13.935917

11/10/2019

13.935834

13.894152

10/10/2019

13.828854

13.787492

09/10/2019

13.804023

13.762735