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

14/02/2019

1.095852

1.093228

13/02/2019

1.097458

1.094831

12/02/2019

1.098219

1.095590

11/02/2019

1.095684

1.093061

08/02/2019

1.095878

1.093254

07/02/2019

1.094836

1.092215

06/02/2019

1.096762

1.094136

05/02/2019

1.093181

1.090564

04/02/2019

1.090327

1.087716

01/02/2019

1.088467

1.085861

31/01/2019

1.087836

1.085232

30/01/2019

1.087933

1.085329

29/01/2019

1.086985

1.084382

25/01/2019

1.089495

1.086886

24/01/2019

1.087350

1.084747

23/01/2019

1.085427

1.082829

22/01/2019

1.084852

1.082254

21/01/2019

1.087917

1.085312

18/01/2019

1.086323

1.083722

17/01/2019

1.083905

1.081310

16/01/2019

1.082552

1.079960

15/01/2019

1.079534

1.076949

14/01/2019

1.078770

1.076187

11/01/2019

1.079711

1.077125

10/01/2019

1.081000

1.078412

09/01/2019

1.079556

1.076971

08/01/2019

1.078133

1.075552

07/01/2019

1.076757

1.074179

04/01/2019

1.075832

1.073257

03/01/2019

1.075485

1.072910