What can we help you find?

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

15/11/2018

2.439741

2.433172

14/11/2018

2.443383

2.436803

13/11/2018

2.449799

2.443203

12/11/2018

2.458288

2.451669

09/11/2018

2.456237

2.449623

08/11/2018

2.455819

2.449206

07/11/2018

2.455213

2.448602

06/11/2018

2.451293

2.444693

05/11/2018

2.446592

2.440004

02/11/2018

2.450325

2.443727

01/11/2018

2.454033

2.447425

31/10/2018

2.456492

2.449877

30/10/2018

2.446283

2.439696

29/10/2018

2.441726

2.435151

26/10/2018

2.435837

2.429278

25/10/2018

2.442110

2.435534

24/10/2018

2.449812

2.443216

23/10/2018

2.460224

2.453599

22/10/2018

2.468833

2.462185

19/10/2018

2.471259

2.464604

18/10/2018

2.468807

2.462159

17/10/2018

2.473741

2.467080

16/10/2018

2.467842

2.461196

15/10/2018

2.460044

2.453420

12/10/2018

2.466789

2.460147

11/10/2018

2.466746

2.460104

10/10/2018

2.489854

2.483150

09/10/2018

2.496865

2.490141

08/10/2018

2.502986

2.496246

05/10/2018

2.511873

2.505109