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

10/12/2018

1.547748

1.544658

07/12/2018

1.548793

1.545702

06/12/2018

1.548858

1.545766

05/12/2018

1.549948

1.546854

04/12/2018

1.551754

1.548657

03/12/2018

1.552110

1.549012

30/11/2018

1.551878

1.548781

29/11/2018

1.552728

1.549629

28/11/2018

1.553190

1.550089

27/11/2018

1.553685

1.550584

26/11/2018

1.553656

1.550555

23/11/2018

1.553398

1.550297

22/11/2018

1.553607

1.550506

21/11/2018

1.553265

1.550164

20/11/2018

1.553133

1.550033

19/11/2018

1.554788

1.551685

16/11/2018

1.555309

1.552205

15/11/2018

1.556765

1.553658

14/11/2018

1.557261

1.554153

13/11/2018

1.557578

1.554469

12/11/2018

1.558521

1.555410

09/11/2018

1.558807

1.555695

08/11/2018

1.558580

1.555469

07/11/2018

1.558451

1.555340

06/11/2018

1.557798

1.554688

05/11/2018

1.557698

1.554589

02/11/2018

1.557219

1.554111

01/11/2018

1.557246

1.554138

31/10/2018

1.556213

1.553107

30/10/2018

1.555974

1.552868