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 Real Return

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

10/05/2021

1.243617

1.240887

07/05/2021

1.241751

1.239025

06/05/2021

1.241011

1.238287

05/05/2021

1.237505

1.234788

04/05/2021

1.233120

1.230413

03/05/2021

1.232260

1.229555

30/04/2021

1.231600

1.228896

29/04/2021

1.232399

1.229694

28/04/2021

1.231451

1.228748

27/04/2021

1.228416

1.225720

26/04/2021

1.226748

1.224055

23/04/2021

1.228973

1.226275

22/04/2021

1.227023

1.224329

21/04/2021

1.224095

1.221408

20/04/2021

1.223489

1.220803

19/04/2021

1.229545

1.226846

16/04/2021

1.231686

1.228983

15/04/2021

1.227323

1.224629

14/04/2021

1.225573

1.222883

13/04/2021

1.226671

1.223978

12/04/2021

1.226831

1.224138

09/04/2021

1.229657

1.226957

08/04/2021

1.231318

1.228615

07/04/2021

1.227366

1.224672

06/04/2021

1.225294

1.222604

01/04/2021

1.225102

1.222413

31/03/2021

1.219793

1.217237

30/03/2021

1.222040

1.219479

29/03/2021

1.220018

1.217461

26/03/2021

1.221715

1.219155