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

12/12/2022

16.956161

16.915564

09/12/2022

16.987389

16.946717

08/12/2022

16.919849

16.879339

07/12/2022

16.992794

16.952109

06/12/2022

17.127256

17.086249

05/12/2022

17.153211

17.112142

02/12/2022

17.192998

17.151834

01/12/2022

17.290325

17.248928

30/11/2022

17.269560

17.228212

29/11/2022

17.208986

17.167783

28/11/2022

17.235152

17.193887

25/11/2022

17.239540

17.198264

24/11/2022

17.142591

17.101547

23/11/2022

17.142258

17.101215

22/11/2022

17.008027

16.967305

21/11/2022

16.949892

16.909310

18/11/2022

16.898891

16.858431

17/11/2022

16.831305

16.791007

16/11/2022

16.709570

16.669563

15/11/2022

16.816358

16.776095

14/11/2022

16.724859

16.684815

11/11/2022

16.948641

16.908062

10/11/2022

16.644659

16.604807

09/11/2022

16.677607

16.637677

08/11/2022

16.709066

16.669060

07/11/2022

16.601930

16.562181

04/11/2022

16.610504

16.570734

03/11/2022

16.667913

16.628006

02/11/2022

16.898220

16.857761

01/11/2022

16.907657

16.867176