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

31/10/2022

16.682357

16.642415

28/10/2022

16.384244

16.345016

27/10/2022

16.365842

16.326658

26/10/2022

16.381075

16.341855

25/10/2022

16.307546

16.268502

24/10/2022

16.109570

16.071000

21/10/2022

15.932396

15.894250

20/10/2022

16.108155

16.069588

19/10/2022

16.181009

16.142268

18/10/2022

16.141498

16.102851

17/10/2022

15.887666

15.849627

14/10/2022

15.966393

15.928165

13/10/2022

15.753694

15.715976

12/10/2022

15.620385

15.582986

11/10/2022

15.563198

15.525936

10/10/2022

15.589425

15.552100

07/10/2022

15.810210

15.772356

06/10/2022

15.933582

15.895433

05/10/2022

15.932791

15.894644

04/10/2022

15.770877

15.733118

30/09/2022

15.238893

15.202407

29/09/2022

15.448874

15.411885

28/09/2022

15.281898

15.245309

27/09/2022

15.268843

15.232286

26/09/2022

15.236800

15.200319

23/09/2022

15.333330

15.296618

21/09/2022

15.719040

15.681405

20/09/2022

15.890331

15.852286

19/09/2022

15.767389

15.729638

16/09/2022

15.828314

15.790417