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

27/03/2019

3.863602

3.853583

26/03/2019

3.856415

3.846414

25/03/2019

3.859619

3.849610

22/03/2019

3.859197

3.849190

21/03/2019

3.857994

3.847989

20/03/2019

3.852211

3.842221

19/03/2019

3.855900

3.845901

18/03/2019

3.851394

3.841407

15/03/2019

3.851342

3.841355

14/03/2019

3.850472

3.840487

13/03/2019

3.849003

3.839022

12/03/2019

3.840773

3.830813

11/03/2019

3.840859

3.830899

08/03/2019

3.838661

3.828707

07/03/2019

3.839414

3.829457

06/03/2019

3.840112

3.830154

05/03/2019

3.830243

3.820310

04/03/2019

3.826436

3.816513

01/03/2019

3.829124

3.819195

28/02/2019

3.828486

3.818558

27/02/2019

3.828714

3.818786

26/02/2019

3.820797

3.810888

25/02/2019

3.825055

3.815136

22/02/2019

3.825926

3.816004

21/02/2019

3.826911

3.816986

20/02/2019

3.813111

3.803223

19/02/2019

3.814397

3.804505

18/02/2019

3.811111

3.801228

15/02/2019

3.815778

3.805883

14/02/2019

3.805368

3.795500