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

08/03/2019

4.945067

4.925366

07/03/2019

4.991320

4.971435

06/03/2019

4.969799

4.949999

05/03/2019

4.962733

4.942961

04/03/2019

4.982796

4.962944

01/03/2019

4.968801

4.949005

28/02/2019

4.959599

4.939840

27/02/2019

4.936688

4.917020

26/02/2019

4.903059

4.883525

25/02/2019

4.910158

4.890595

22/02/2019

4.908941

4.889383

21/02/2019

4.870638

4.851233

20/02/2019

4.819545

4.800344

19/02/2019

4.845798

4.826492

18/02/2019

4.825836

4.806609

15/02/2019

4.816052

4.796865

14/02/2019

4.782936

4.763881

13/02/2019

4.806759

4.787608

12/02/2019

4.799882

4.780759

11/02/2019

4.786735

4.767664

08/02/2019

4.799424

4.780303

07/02/2019

4.813646

4.794468

06/02/2019

4.784409

4.765348

05/02/2019

4.744349

4.725447

04/02/2019

4.671702

4.653090

01/02/2019

4.641396

4.622905

31/01/2019

4.634498

4.616033

30/01/2019

4.657032

4.638478

29/01/2019

4.652962

4.634425

25/01/2019

4.674776

4.656151