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

14/11/2018

3.726021

3.716358

13/11/2018

3.730016

3.720343

12/11/2018

3.736393

3.726704

09/11/2018

3.732704

3.723025

08/11/2018

3.731457

3.721780

07/11/2018

3.733121

3.723440

06/11/2018

3.729991

3.720318

05/11/2018

3.725615

3.715953

02/11/2018

3.731292

3.721616

01/11/2018

3.737694

3.728001

31/10/2018

3.741972

3.732268

30/10/2018

3.733532

3.723850

29/10/2018

3.731578

3.721901

26/10/2018

3.725529

3.715868

25/10/2018

3.731230

3.721554

24/10/2018

3.735989

3.726300

23/10/2018

3.744481

3.734771

22/10/2018

3.750706

3.740980

19/10/2018

3.752436

3.742705

18/10/2018

3.748512

3.738791

17/10/2018

3.753035

3.743303

16/10/2018

3.747595

3.737876

15/10/2018

3.742833

3.733127

12/10/2018

3.746495

3.736779

11/10/2018

3.748420

3.738699

10/10/2018

3.765723

3.755958

09/10/2018

3.769575

3.759799

08/10/2018

3.774438

3.764650

05/10/2018

3.783331

3.773520

04/10/2018

3.782489

3.772680