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 WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

28/02/2021

5.707462

5.690391

26/02/2021

5.707462

5.690391

25/02/2021

5.746468

5.729280

24/02/2021

5.746564

5.729376

23/02/2021

5.746364

5.729177

22/02/2021

5.718515

5.701411

19/02/2021

5.718735

5.701630

18/02/2021

5.750933

5.733732

17/02/2021

5.764879

5.747636

16/02/2021

5.759513

5.742286

15/02/2021

5.744967

5.727784

12/02/2021

5.720384

5.703274

11/02/2021

5.723508

5.706389

10/02/2021

5.724107

5.706986

09/02/2021

5.718303

5.701199

08/02/2021

5.731173

5.714030

05/02/2021

5.714748

5.697655

04/02/2021

5.694208

5.677177

03/02/2021

5.696355

5.679317

02/02/2021

5.676060

5.659083

01/02/2021

5.626289

5.609460

31/01/2021

5.586597

5.569887

29/01/2021

5.586597

5.569887

28/01/2021

5.630773

5.613932

27/01/2021

5.652790

5.635883

25/01/2021

5.706271

5.689203

22/01/2021

5.708742

5.691667

21/01/2021

5.725172

5.708048

20/01/2021

5.728188

5.711055

19/01/2021

5.725158

5.708034