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

02/12/2016

1.004380

1.001975

01/12/2016

1.006623

1.004213

30/11/2016

1.006049

1.003640

29/11/2016

1.005570

1.003162

28/11/2016

1.005951

1.003543

25/11/2016

1.007939

1.005525

24/11/2016

1.006479

1.004069

23/11/2016

1.007786

1.005374

22/11/2016

1.007489

1.005076

21/11/2016

1.006004

1.003595

18/11/2016

1.005534

1.003126

17/11/2016

1.001940

0.999541

16/11/2016

1.003195

1.000793

15/11/2016

1.001757

0.999359

14/11/2016

0.998724

0.996332

11/11/2016

0.998868

0.996476

10/11/2016

0.997835

0.995446

09/11/2016

0.994257

0.991877

08/11/2016

0.998255

0.995865

07/11/2016

0.998279

0.995889

04/11/2016

0.995515

0.993132

03/11/2016

0.996774

0.994388

02/11/2016

0.998480

0.996090

01/11/2016

1.002814

1.000413

31/10/2016

1.005869

1.003460

28/10/2016

1.006526

1.004117

27/10/2016

1.007844

1.005431

26/10/2016

1.007987

1.005574

25/10/2016

1.012351

1.009927

24/10/2016

1.012412

1.009988