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

23/01/2020

1.153216

1.150455

22/01/2020

1.154814

1.152049

21/01/2020

1.153614

1.150852

20/01/2020

1.155138

1.152373

17/01/2020

1.156000

1.153233

16/01/2020

1.154862

1.152097

15/01/2020

1.153667

1.150905

14/01/2020

1.152320

1.149561

13/01/2020

1.152529

1.149769

10/01/2020

1.151513

1.148756

09/01/2020

1.152473

1.149713

08/01/2020

1.151344

1.148588

07/01/2020

1.150351

1.147597

06/01/2020

1.146456

1.143711

03/01/2020

1.146782

1.144036

02/01/2020

1.145700

1.142957

31/12/2019

1.141090

1.138358

30/12/2019

1.142259

1.139524

27/12/2019

1.143461

1.140724

24/12/2019

1.143138

1.140401

23/12/2019

1.143694

1.140956

20/12/2019

1.143829

1.141090

19/12/2019

1.145444

1.142701

18/12/2019

1.146250

1.143506

17/12/2019

1.146701

1.143955

16/12/2019

1.144756

1.142015

13/12/2019

1.142459

1.139724

12/12/2019

1.139397

1.136669

11/12/2019

1.139887

1.137158

10/12/2019

1.138662

1.135936