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

09/10/2019

5.163658

5.143086

08/10/2019

5.203507

5.182776

04/10/2019

5.174311

5.153697

03/10/2019

5.182863

5.162214

02/10/2019

5.267467

5.246481

01/10/2019

5.308816

5.287665

30/09/2019

5.276612

5.255589

27/09/2019

5.279917

5.258882

26/09/2019

5.235159

5.214301

25/09/2019

5.268633

5.247643

24/09/2019

5.294585

5.273491

23/09/2019

5.302457

5.281332

20/09/2019

5.310018

5.288863

19/09/2019

5.292768

5.271681

18/09/2019

5.257275

5.236330

17/09/2019

5.258310

5.237361

16/09/2019

5.261764

5.240800

13/09/2019

5.242900

5.222012

12/09/2019

5.234726

5.213870

11/09/2019

5.220740

5.199941

10/09/2019

5.184260

5.163605

09/09/2019

5.162485

5.141918

06/09/2019

5.157702

5.137153

05/09/2019

5.151349

5.130826

04/09/2019

5.132956

5.112506

03/09/2019

5.124624

5.104208

02/09/2019

5.121829

5.101423

31/08/2019

5.147803

5.127294

30/08/2019

5.147803

5.127294

29/08/2019

5.082083

5.061836