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 Conservative Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

02/08/2019

4.019740

4.009316

01/08/2019

4.011554

4.001151

31/07/2019

4.015958

4.005544

30/07/2019

4.021536

4.011107

29/07/2019

4.020858

4.010431

26/07/2019

4.016613

4.006197

25/07/2019

4.013003

4.002596

24/07/2019

4.005915

3.995527

23/07/2019

3.996711

3.986346

22/07/2019

3.987888

3.977546

19/07/2019

3.986514

3.976176

18/07/2019

3.982082

3.971755

17/07/2019

3.981786

3.971460

16/07/2019

3.980463

3.970140

15/07/2019

3.978691

3.968373

12/07/2019

3.983421

3.973091

11/07/2019

3.992853

3.982499

10/07/2019

3.991087

3.980737

09/07/2019

3.993597

3.983241

08/07/2019

3.991017

3.980667

05/07/2019

4.001008

3.990632

04/07/2019

3.996125

3.985762

03/07/2019

3.994010

3.983653

02/07/2019

3.986021

3.975684

01/07/2019

3.985816

3.975479

30/06/2019

3.976036

3.965725

28/06/2019

3.976036

3.965725

27/06/2019

3.970575

3.960278

26/06/2019

3.974597

3.964290

25/06/2019

3.979255

3.968936