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

19/04/2018

1.073642

1.071071

18/04/2018

1.071428

1.068863

17/04/2018

1.069852

1.067291

16/04/2018

1.068738

1.066179

13/04/2018

1.067648

1.065092

12/04/2018

1.069685

1.067124

11/04/2018

1.068177

1.065620

10/04/2018

1.070479

1.067916

09/04/2018

1.068792

1.066233

06/04/2018

1.067534

1.064978

05/04/2018

1.071717

1.069151

04/04/2018

1.067401

1.064846

03/04/2018

1.067319

1.064764

31/03/2018

1.068231

1.065673

29/03/2018

1.068231

1.065673

28/03/2018

1.064754

1.062205

27/03/2018

1.062463

1.059919

26/03/2018

1.063329

1.060783

23/03/2018

1.061051

1.058510

22/03/2018

1.065523

1.062972

21/03/2018

1.069427

1.066866

20/03/2018

1.069156

1.066597

19/03/2018

1.067959

1.065402

16/03/2018

1.069141

1.066581

15/03/2018

1.065779

1.063228

14/03/2018

1.064820

1.062270

13/03/2018

1.066479

1.063925

12/03/2018

1.069214

1.066654

09/03/2018

1.070073

1.067511

08/03/2018

1.068724

1.066165