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 SHARE-PLUS Long-Short

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/03/2021

5.737097

5.714240

04/03/2021

5.757049

5.734112

03/03/2021

5.723803

5.700999

02/03/2021

5.657567

5.635027

01/03/2021

5.679381

5.656754

28/02/2021

5.615943

5.593568

26/02/2021

5.615943

5.593568

25/02/2021

5.667111

5.644533

24/02/2021

5.574012

5.551805

23/02/2021

5.593274

5.570990

22/02/2021

5.536657

5.514599

19/02/2021

5.477232

5.455410

18/02/2021

5.558706

5.536560

17/02/2021

5.560664

5.538510

16/02/2021

5.565163

5.542991

15/02/2021

5.538899

5.516831

12/02/2021

5.526360

5.504343

11/02/2021

5.569674

5.547485

10/02/2021

5.556796

5.534657

09/02/2021

5.556953

5.534813

08/02/2021

5.558668

5.536522

05/02/2021

5.534113

5.512065

04/02/2021

5.512799

5.490836

03/02/2021

5.532103

5.510063

02/02/2021

5.497381

5.475479

01/02/2021

5.433735

5.412086

31/01/2021

5.372097

5.350695

29/01/2021

5.372097

5.350695

28/01/2021

5.399321

5.377810

27/01/2021

5.477865

5.456040