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

04/08/2016

1.457659

1.454749

03/08/2016

1.458108

1.455198

02/08/2016

1.457746

1.454837

31/07/2016

1.457064

1.454156

29/07/2016

1.457064

1.454156

28/07/2016

1.455959

1.453052

27/07/2016

1.456108

1.453202

26/07/2016

1.456161

1.453255

25/07/2016

1.455785

1.452880

22/07/2016

1.454847

1.451944

21/07/2016

1.455225

1.452320

20/07/2016

1.454618

1.451714

19/07/2016

1.454668

1.451764

18/07/2016

1.454159

1.451256

15/07/2016

1.453328

1.450427

14/07/2016

1.453208

1.450308

13/07/2016

1.452802

1.449902

12/07/2016

1.452079

1.449181

11/07/2016

1.451493

1.448596

08/07/2016

1.450721

1.447826

07/07/2016

1.450844

1.447948

06/07/2016

1.450480

1.447585

05/07/2016

1.450515

1.447620

04/07/2016

1.450598

1.447703

01/07/2016

1.449645

1.446752

30/06/2016

1.450049

1.447155

29/06/2016

1.449110

1.446218

28/06/2016

1.448721

1.445829

27/06/2016

1.448444

1.445553

24/06/2016

1.449319

1.446426