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 Diversified Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

14/02/2023

3.117665

3.110201

13/02/2023

3.117086

3.109623

10/02/2023

3.124273

3.116793

09/02/2023

3.123908

3.116429

08/02/2023

3.136699

3.129189

07/02/2023

3.137005

3.129494

06/02/2023

3.152514

3.144966

03/02/2023

3.160202

3.152636

02/02/2023

3.140603

3.133084

01/02/2023

3.137044

3.129533

31/01/2023

3.132563

3.125063

30/01/2023

3.129756

3.122263

27/01/2023

3.132342

3.124842

25/01/2023

3.131183

3.123686

24/01/2023

3.138041

3.130528

23/01/2023

3.133761

3.126258

20/01/2023

3.148063

3.140526

19/01/2023

3.157257

3.149698

18/01/2023

3.138482

3.130968

17/01/2023

3.142606

3.135082

16/01/2023

3.146760

3.139226

13/01/2023

3.142071

3.134548

12/01/2023

3.138371

3.130857

11/01/2023

3.123343

3.115865

10/01/2023

3.115638

3.108178

09/01/2023

3.112183

3.104732

06/01/2023

3.109083

3.101639

05/01/2023

3.102768

3.095339

04/01/2023

3.091095

3.083694

03/01/2023

3.086900

3.079509