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

Morningstar Growth Real Return

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

29/09/2015

1.858268

1.852340

28/09/2015

1.873672

1.867695

25/09/2015

1.877454

1.871465

24/09/2015

1.872464

1.866492

23/09/2015

1.872481

1.866508

22/09/2015

1.877983

1.871992

21/09/2015

1.881074

1.875073

18/09/2015

1.883660

1.877652

17/09/2015

1.894882

1.888838

16/09/2015

1.886549

1.880532

15/09/2015

1.882214

1.876210

14/09/2015

1.880381

1.874383

11/09/2015

1.884531

1.878520

10/09/2015

1.888018

1.881995

09/09/2015

1.902144

1.896076

08/09/2015

1.886839

1.880820

07/09/2015

1.885423

1.879409

04/09/2015

1.885260

1.879246

03/09/2015

1.891403

1.885369

02/09/2015

1.889606

1.883578

01/09/2015

1.888475

1.882451