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 Income

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

15/09/2022

1.633189

1.629929

14/09/2022

1.634328

1.631066

13/09/2022

1.635025

1.631761

12/09/2022

1.634505

1.631243

09/09/2022

1.633756

1.630495

08/09/2022

1.631820

1.628563

07/09/2022

1.627072

1.623824

06/09/2022

1.628632

1.625381

05/09/2022

1.627377

1.624129

02/09/2022

1.627707

1.624458

01/09/2022

1.626060

1.622814

31/08/2022

1.628412

1.625162

30/08/2022

1.628805

1.625554

29/08/2022

1.628297

1.625047

26/08/2022

1.628998

1.625747

25/08/2022

1.627287

1.624039

24/08/2022

1.627643

1.624394

23/08/2022

1.626817

1.623570

22/08/2022

1.627486

1.624238

19/08/2022

1.628007

1.624757

18/08/2022

1.628162

1.624912

17/08/2022

1.629312

1.626060

16/08/2022

1.628930

1.625679

15/08/2022

1.626289

1.623043

12/08/2022

1.625860

1.622615

11/08/2022

1.627739

1.624490

10/08/2022

1.625650

1.622405

09/08/2022

1.625653

1.622408

08/08/2022

1.624203

1.620961

05/08/2022

1.625350

1.622106