What can we help you find?
Search by Topic

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 Conservative Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

30/12/2014

3.320167

3.311557

29/12/2014

3.325002

3.316379

24/12/2014

3.316906

3.308304

23/12/2014

3.317143

3.308541

22/12/2014

3.319916

3.311307

19/12/2014

3.306018

3.297445

18/12/2014

3.298479

3.289925

17/12/2014

3.289333

3.280803

16/12/2014

3.281454

3.272945

15/12/2014

3.285778

3.277257

12/12/2014

3.292767

3.284228

11/12/2014

3.302570

3.294006

10/12/2014

3.302167

3.293603

09/12/2014

3.300112

3.291554

08/12/2014

3.308157

3.299578

05/12/2014

3.310286

3.301701

04/12/2014

3.305848

3.297275

03/12/2014

3.301750

3.293188

02/12/2014

3.297422

3.288871

01/12/2014

3.295942

3.287394

30/11/2014

3.302518

3.293953

28/11/2014

3.302518

3.293953

27/11/2014

3.305252

3.296680

26/11/2014

3.306171

3.297597

25/11/2014

3.297939

3.289386

24/11/2014

3.296305

3.287757

21/11/2014

3.287351

3.278826

20/11/2014

3.286265

3.277742

19/11/2014

3.289434

3.280903

18/11/2014

3.288365

3.279838