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

Fidelity Australian Equities

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

22/08/2022

2.967854

2.958977

19/08/2022

2.994487

2.985530

18/08/2022

2.988640

2.979701

17/08/2022

2.993632

2.984678

16/08/2022

2.986938

2.978004

15/08/2022

2.966729

2.957855

12/08/2022

2.956209

2.947367

11/08/2022

2.968081

2.959203

10/08/2022

2.935299

2.926519

09/08/2022

2.952832

2.944000

08/08/2022

2.942551

2.933750

05/08/2022

2.945697

2.936886

04/08/2022

2.921024

2.912287

03/08/2022

2.916874

2.908150

02/08/2022

2.924184

2.915438

31/07/2022

2.906644

2.897950

29/07/2022

2.906644

2.897950

28/07/2022

2.879161

2.870549

27/07/2022

2.844690

2.836181

26/07/2022

2.840560

2.832064

25/07/2022

2.830902

2.822435

22/07/2022

2.833202

2.824728

21/07/2022

2.841603

2.833104

20/07/2022

2.824638

2.816189

19/07/2022

2.784069

2.775742

18/07/2022

2.805516

2.797125

15/07/2022

2.768149

2.759869

14/07/2022

2.791109

2.782761

13/07/2022

2.777347

2.769040

12/07/2022

2.771929

2.763638