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

10/02/2020

5.506703

5.488043

07/02/2020

5.518440

5.499741

06/02/2020

5.520148

5.501443

05/02/2020

5.498946

5.480313

04/02/2020

5.483723

5.465141

03/02/2020

5.468794

5.450263

31/01/2020

5.493905

5.475289

30/01/2020

5.500550

5.481911

29/01/2020

5.498062

5.479432

28/01/2020

5.492016

5.473406

24/01/2020

5.509781

5.491111

23/01/2020

5.510120

5.491449

22/01/2020

5.526998

5.508270

21/01/2020

5.512734

5.494055

20/01/2020

5.521951

5.503240

17/01/2020

5.527014

5.508286

16/01/2020

5.517347

5.498651

15/01/2020

5.500539

5.481900

14/01/2020

5.488172

5.469576

13/01/2020

5.475959

5.457403

10/01/2020

5.476093

5.457537

09/01/2020

5.476836

5.458278

08/01/2020

5.457219

5.438727

07/01/2020

5.455047

5.436563

06/01/2020

5.414843

5.396495

03/01/2020

5.419475

5.401111

02/01/2020

5.403631

5.385321

31/12/2019

5.384700

5.366454

30/12/2019

5.414625

5.396277

27/12/2019

5.422178

5.403805