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

19/09/2023

3.186422

3.178793

18/09/2023

3.192574

3.184930

15/09/2023

3.201970

3.194304

14/09/2023

3.194157

3.186509

13/09/2023

3.184369

3.176745

12/09/2023

3.188522

3.180888

11/09/2023

3.183591

3.175969

08/09/2023

3.186418

3.178789

07/09/2023

3.186789

3.179159

06/09/2023

3.192408

3.184765

05/09/2023

3.198705

3.191046

04/09/2023

3.197792

3.190136

01/09/2023

3.198444

3.190786

31/08/2023

3.195408

3.187757

30/08/2023

3.191158

3.183518

29/08/2023

3.182699

3.175079

28/08/2023

3.175113

3.167511

25/08/2023

3.172317

3.164722

24/08/2023

3.173955

3.166356

23/08/2023

3.169215

3.161627

22/08/2023

3.165080

3.157502

21/08/2023

3.166526

3.158945

18/08/2023

3.173200

3.165603

17/08/2023

3.167280

3.159697

16/08/2023

3.168345

3.160759

15/08/2023

3.169769

3.162180

14/08/2023

3.176813

3.169207

11/08/2023

3.185336

3.177709

10/08/2023

3.185022

3.177396

09/08/2023

3.186083

3.178455