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

20/11/2019

5.223840

5.203028

19/11/2019

5.273091

5.252083

18/11/2019

5.250997

5.230076

15/11/2019

5.266154

5.245173

14/11/2019

5.249414

5.228500

13/11/2019

5.241553

5.220671

12/11/2019

5.258819

5.237867

11/11/2019

5.277465

5.256439

08/11/2019

5.274535

5.253521

07/11/2019

5.257872

5.236924

06/11/2019

5.240906

5.220026

05/11/2019

5.273785

5.252774

04/11/2019

5.248060

5.227152

01/11/2019

5.251684

5.230761

31/10/2019

5.240932

5.220052

30/10/2019

5.245111

5.224214

29/10/2019

5.278505

5.257475

28/10/2019

5.280105

5.259069

25/10/2019

5.286357

5.265296

24/10/2019

5.273738

5.252727

23/10/2019

5.269231

5.248238

22/10/2019

5.272560

5.251554

21/10/2019

5.240182

5.219305

18/10/2019

5.225809

5.204989

17/10/2019

5.242193

5.221307

16/10/2019

5.277358

5.256333

15/10/2019

5.215279

5.194501

14/10/2019

5.211121

5.190359

11/10/2019

5.207928

5.187179

10/10/2019

5.166138

5.145555