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 ESG Australian Share

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

04/01/2016

4.861431

4.846890

31/12/2015

4.819464

4.805049

30/12/2015

4.819324

4.804909

29/12/2015

4.827147

4.812709

24/12/2015

4.677499

4.663509

23/12/2015

4.607281

4.593500

22/12/2015

4.568432

4.554768

21/12/2015

4.575855

4.562168

18/12/2015

4.579331

4.565634

17/12/2015

4.561212

4.547569

16/12/2015

4.514150

4.500648

15/12/2015

4.440171

4.426890

14/12/2015

4.449449

4.436141

11/12/2015

4.541378

4.527794

10/12/2015

4.547371

4.533769

09/12/2015

4.583815

4.570105

08/12/2015

4.629837

4.615989

07/12/2015

4.662688

4.648742

04/12/2015

4.644308

4.630416

03/12/2015

4.708013

4.693931

02/12/2015

4.714817

4.700715

01/12/2015

4.719513

4.705397

30/11/2015

4.651375

4.637463

27/11/2015

4.658819

4.644885

26/11/2015

4.654839

4.640917

25/11/2015

4.644812

4.630919

24/11/2015

4.659256

4.645320

23/11/2015

4.675636

4.661651

20/11/2015

4.648786

4.634881

19/11/2015

4.642801

4.628914