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

24/10/2022

3.042060

3.034777

21/10/2022

3.019186

3.011957

20/10/2022

3.023543

3.016304

19/10/2022

3.040730

3.033450

18/10/2022

3.044294

3.037005

17/10/2022

3.027175

3.019927

14/10/2022

3.033422

3.026159

13/10/2022

3.026975

3.019728

12/10/2022

3.019767

3.012537

11/10/2022

3.017770

3.010545

10/10/2022

3.025954

3.018709

07/10/2022

3.025088

3.017845

06/10/2022

3.036576

3.029306

05/10/2022

3.043477

3.036190

04/10/2022

3.031738

3.024479

30/09/2022

2.988461

2.981306

29/09/2022

2.988278

2.981123

28/09/2022

2.976023

2.968898

27/09/2022

2.974400

2.967279

26/09/2022

2.973148

2.966030

23/09/2022

2.990684

2.983524

21/09/2022

3.014501

3.007284

20/09/2022

3.026710

3.019463

19/09/2022

3.023047

3.015809

16/09/2022

3.025894

3.018649

15/09/2022

3.032389

3.025129

14/09/2022

3.032055

3.024795

13/09/2022

3.048755

3.041456

12/09/2022

3.040508

3.033228

09/09/2022

3.038914

3.031638