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 Term Allocated Pension Plan

As of Date Entry Price Exit Price

14/05/2018

1.550266

1.547171

11/05/2018

1.550719

1.547624

10/05/2018

1.550959

1.547864

09/05/2018

1.548559

1.545468

08/05/2018

1.547091

1.544003

07/05/2018

1.549056

1.545964

04/05/2018

1.548251

1.545161

03/05/2018

1.548718

1.545626

02/05/2018

1.548654

1.545562

01/05/2018

1.548903

1.545811

30/04/2018

1.549110

1.546018

27/04/2018

1.549492

1.546399

26/04/2018

1.548831

1.545740

24/04/2018

1.548328

1.545237

23/04/2018

1.548199

1.545109

20/04/2018

1.548372

1.545282

19/04/2018

1.548691

1.545600

18/04/2018

1.548304

1.545213

17/04/2018

1.548372

1.545282

16/04/2018

1.548441

1.545350

13/04/2018

1.548466

1.545375

12/04/2018

1.547349

1.544261

11/04/2018

1.547682

1.544593

10/04/2018

1.547219

1.544131

09/04/2018

1.546790

1.543702

06/04/2018

1.547031

1.543943

05/04/2018

1.545657

1.542572

04/04/2018

1.545422

1.542337

03/04/2018

1.545038

1.541954

31/03/2018

1.544830

1.541747