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

17/04/2018

3.672800

3.663275

16/04/2018

3.671998

3.662476

13/04/2018

3.670874

3.661355

12/04/2018

3.675674

3.666142

11/04/2018

3.673676

3.664149

10/04/2018

3.677982

3.668444

09/04/2018

3.674360

3.664831

06/04/2018

3.672950

3.663425

05/04/2018

3.677537

3.668000

04/04/2018

3.668809

3.659294

03/04/2018

3.670262

3.660744

31/03/2018

3.674614

3.665085

29/03/2018

3.674614

3.665085

28/03/2018

3.671435

3.661914

27/03/2018

3.665725

3.656219

26/03/2018

3.663015

3.653516

23/03/2018

3.663153

3.653654

22/03/2018

3.674134

3.664606

21/03/2018

3.680170

3.670627

20/03/2018

3.680333

3.670789

19/03/2018

3.681568

3.672021

16/03/2018

3.681703

3.672155

15/03/2018

3.673592

3.664065

14/03/2018

3.670674

3.661155

13/03/2018

3.673586

3.664059

12/03/2018

3.677936

3.668398

09/03/2018

3.679688

3.670146

08/03/2018

3.677834

3.668296

07/03/2018

3.672763

3.663238

06/03/2018

3.676486

3.666952