What can we help you find?
Search by Topic

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

07/12/2015

0.981294

0.978944

04/12/2015

0.979162

0.976818

03/12/2015

0.983274

0.980920

02/12/2015

0.987217

0.984853

01/12/2015

0.987120

0.984757

30/11/2015

0.985625

0.983266

27/11/2015

0.988598

0.986230

26/11/2015

0.988876

0.986508

25/11/2015

0.987218

0.984854

24/11/2015

0.987283

0.984919

23/11/2015

0.990521

0.988150

20/11/2015

0.988702

0.986335

19/11/2015

0.989461

0.987092

18/11/2015

0.988496

0.986129

17/11/2015

0.986788

0.984425

16/11/2015

0.982370

0.980018

13/11/2015

0.982766

0.980412

12/11/2015

0.986656

0.984294

11/11/2015

0.990577

0.988205

10/11/2015

0.989619

0.987250

09/11/2015

0.988639

0.986272

06/11/2015

0.992478

0.990102

05/11/2015

0.989016

0.986648

04/11/2015

0.989143

0.986774

03/11/2015

0.988966

0.986598

02/11/2015

0.988584

0.986217

31/10/2015

0.990964

0.988591

30/10/2015

0.990964

0.988591

29/10/2015

0.993688

0.991308

28/10/2015

0.995623

0.993239