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

28/03/2022

16.261796

16.222861

25/03/2022

16.226656

16.187805

24/03/2022

16.240107

16.201224

23/03/2022

16.274039

16.235075

22/03/2022

16.224415

16.185570

21/03/2022

16.206453

16.167651

18/03/2022

16.291276

16.252271

17/03/2022

16.220924

16.182087

16/03/2022

16.136164

16.097530

15/03/2022

15.940004

15.901840

14/03/2022

15.892972

15.854920

11/03/2022

15.683712

15.646161

10/03/2022

15.777799

15.740023

09/03/2022

15.537995

15.500793

08/03/2022

15.277902

15.241323

07/03/2022

15.307551

15.270901

04/03/2022

15.532035

15.494847

03/03/2022

15.671173

15.633652

02/03/2022

15.736340

15.698663

01/03/2022

15.849399

15.811452

28/02/2022

15.844910

15.806973

25/02/2022

15.787943

15.750143

24/02/2022

15.793170

15.755357

23/02/2022

16.134263

16.095633

22/02/2022

16.045690

16.007273

21/02/2022

16.170779

16.132062

18/02/2022

16.120620

16.082023

17/02/2022

16.359938

16.320768

16/02/2022

16.330866

16.291766

15/02/2022

16.077516

16.039022