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 Dynamic Fixed Income

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

14/09/2021

1.172535

1.170195

13/09/2021

1.171803

1.169464

10/09/2021

1.172629

1.170288

09/09/2021

1.171579

1.169241

08/09/2021

1.171019

1.168682

07/09/2021

1.171489

1.169151

06/09/2021

1.171662

1.169324

03/09/2021

1.172256

1.169916

02/09/2021

1.172580

1.170240

01/09/2021

1.171784

1.169445

31/08/2021

1.173411

1.171069

30/08/2021

1.173254

1.170912

27/08/2021

1.172631

1.170291

26/08/2021

1.172409

1.170069

25/08/2021

1.172902

1.170561

24/08/2021

1.172977

1.170636

23/08/2021

1.174288

1.171944

20/08/2021

1.174400

1.172056

19/08/2021

1.174267

1.171923

18/08/2021

1.173390

1.171048

17/08/2021

1.173176

1.170834

16/08/2021

1.172919

1.170578

13/08/2021

1.171955

1.169615

12/08/2021

1.172294

1.169955

11/08/2021

1.171767

1.169428

10/08/2021

1.172014

1.169675

09/08/2021

1.171840

1.169501

06/08/2021

1.172044

1.169705

05/08/2021

1.172972

1.170630

04/08/2021

1.173097

1.170755