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 Income

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

09/08/2021

1.658600

1.655289

06/08/2021

1.658209

1.654899

05/08/2021

1.658868

1.655557

04/08/2021

1.658296

1.654986

03/08/2021

1.657847

1.654538

31/07/2021

1.657895

1.654586

30/07/2021

1.657895

1.654586

29/07/2021

1.657425

1.654117

28/07/2021

1.656429

1.653123

27/07/2021

1.656990

1.653682

26/07/2021

1.656909

1.653602

23/07/2021

1.656491

1.653185

22/07/2021

1.656642

1.653335

21/07/2021

1.655308

1.652004

20/07/2021

1.655730

1.652425

19/07/2021

1.657641

1.654333

16/07/2021

1.657571

1.654263

15/07/2021

1.658010

1.654701

14/07/2021

1.658036

1.654726

13/07/2021

1.657430

1.654122

12/07/2021

1.657777

1.654468

09/07/2021

1.657471

1.654163

08/07/2021

1.657330

1.654022

07/07/2021

1.657575

1.654266

06/07/2021

1.658255

1.654946

05/07/2021

1.658177

1.654867

02/07/2021

1.658267

1.654958

01/07/2021

1.658027

1.654718

30/06/2021

1.658482

1.655172

29/06/2021

1.657772

1.654463