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Unit Prices

Perpetual Conservative Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

10/11/2015

3.403172

3.394347

09/11/2015

3.401497

3.392676

06/11/2015

3.415195

3.406338

05/11/2015

3.408318

3.399479

04/11/2015

3.412675

3.403825

03/11/2015

3.413270

3.404418

02/11/2015

3.411552

3.402705

31/10/2015

3.416504

3.407644

30/10/2015

3.416504

3.407644

29/10/2015

3.422122

3.413248

28/10/2015

3.427806

3.418917

27/10/2015

3.418207

3.409342

26/10/2015

3.417406

3.408544

23/10/2015

3.422348

3.413473

22/10/2015

3.409096

3.400255

21/10/2015

3.406141

3.397308

20/10/2015

3.403978

3.395150

19/10/2015

3.409256

3.400415

16/10/2015

3.409218

3.400377

15/10/2015

3.401951

3.393129

14/10/2015

3.394812

3.386009

13/10/2015

3.393485

3.384685

12/10/2015

3.395359

3.386554

09/10/2015

3.398947

3.390133

08/10/2015

3.396210

3.387403

07/10/2015

3.392150

3.383353

06/10/2015

3.390171

3.381379

02/10/2015

3.373154

3.364407

01/10/2015

3.374770

3.366019

30/09/2015

3.368714

3.359978