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 Real Return

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

27/10/2015

0.991048

0.988675

26/10/2015

0.991711

0.989337

23/10/2015

0.993537

0.991158

22/10/2015

0.988657

0.986290

21/10/2015

0.987212

0.984848

20/10/2015

0.985883

0.983522

19/10/2015

0.987499

0.985135

16/10/2015

0.987903

0.985538

15/10/2015

0.984652

0.982294

14/10/2015

0.983145

0.980791

13/10/2015

0.982715

0.980362

12/10/2015

0.983209

0.980855

09/10/2015

0.987951

0.985586

08/10/2015

0.987992

0.985627

07/10/2015

0.986038

0.983677

06/10/2015

0.986408

0.984047

02/10/2015

0.979735

0.977389

01/10/2015

0.978796

0.976452

30/09/2015

0.979174

0.976829

29/09/2015

0.976107

0.973770

28/09/2015

0.980916

0.978568

25/09/2015

0.981802

0.979451

24/09/2015

0.980443

0.978095

23/09/2015

0.980524

0.978176

22/09/2015

0.980561

0.978213

21/09/2015

0.978473

0.976130

18/09/2015

0.978177

0.975835

17/09/2015

0.981623

0.979273

16/09/2015

0.980723

0.978376

15/09/2015

0.980839

0.978491