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

02/08/2019

2.665331

2.658154

01/08/2019

2.663705

2.656532

31/07/2019

2.667857

2.660673

30/07/2019

2.675799

2.668594

29/07/2019

2.675662

2.668457

26/07/2019

2.671888

2.664694

25/07/2019

2.668381

2.661196

24/07/2019

2.663959

2.656785

23/07/2019

2.655304

2.648154

22/07/2019

2.646292

2.639166

19/07/2019

2.646085

2.638960

18/07/2019

2.641234

2.634122

17/07/2019

2.642638

2.635522

16/07/2019

2.642209

2.635094

15/07/2019

2.642723

2.635607

12/07/2019

2.647054

2.639926

11/07/2019

2.652473

2.645331

10/07/2019

2.651390

2.644251

09/07/2019

2.652117

2.644975

08/07/2019

2.650288

2.643152

05/07/2019

2.660343

2.653180

04/07/2019

2.655745

2.648594

03/07/2019

2.652667

2.645524

02/07/2019

2.646212

2.639086

01/07/2019

2.646468

2.639342

30/06/2019

2.634252

2.627159

28/06/2019

2.634252

2.627159

27/06/2019

2.630834

2.623750

26/06/2019

2.631214

2.624129

25/06/2019

2.636131

2.629033