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

13/09/2017

3.612455

3.603087

12/09/2017

3.612970

3.603601

11/09/2017

3.609061

3.599701

08/09/2017

3.601722

3.592382

07/09/2017

3.602236

3.592895

06/09/2017

3.603937

3.594591

05/09/2017

3.599756

3.590421

04/09/2017

3.605737

3.596386

01/09/2017

3.604737

3.595389

31/08/2017

3.602760

3.593417

30/08/2017

3.600263

3.590926

29/08/2017

3.596967

3.587640

28/08/2017

3.602582

3.593240

25/08/2017

3.606369

3.597017

24/08/2017

3.607388

3.598033

23/08/2017

3.607153

3.597798

22/08/2017

3.605402

3.596052

21/08/2017

3.600782

3.591444

18/08/2017

3.605528

3.596178

17/08/2017

3.608484

3.599127

16/08/2017

3.610389

3.601026

15/08/2017

3.611054

3.601689

14/08/2017

3.605303

3.595953

11/08/2017

3.601298

3.591959

10/08/2017

3.603447

3.594102

09/08/2017

3.611160

3.601795

08/08/2017

3.611157

3.601792

04/08/2017

3.608264

3.598907

03/08/2017

3.606457

3.597104

02/08/2017

3.603805

3.594459