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

Investors Mutual Australian Share

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

22/12/2021

4.491281

4.468936

21/12/2021

4.483697

4.461390

20/12/2021

4.438933

4.416849

17/12/2021

4.443911

4.421802

16/12/2021

4.435908

4.413839

15/12/2021

4.471958

4.449709

14/12/2021

4.486403

4.464083

13/12/2021

4.483655

4.461348

10/12/2021

4.487152

4.464828

09/12/2021

4.508495

4.486065

08/12/2021

4.514485

4.492025

07/12/2021

4.488670

4.466338

06/12/2021

4.447736

4.425608

03/12/2021

4.441851

4.419752

02/12/2021

4.434006

4.411946

01/12/2021

4.437257

4.415181

30/11/2021

4.454518

4.432356

29/11/2021

4.440215

4.418124

26/11/2021

4.480798

4.458505

25/11/2021

4.543847

4.521241

24/11/2021

4.543701

4.521096

23/11/2021

4.562932

4.540231

22/11/2021

4.534165

4.511607

19/11/2021

4.555464

4.532800

18/11/2021

4.539274

4.516691

17/11/2021

4.522098

4.499600

16/11/2021

4.530068

4.507530

15/11/2021

4.561157

4.538465

12/11/2021

4.553529

4.530875

11/11/2021

4.527239

4.504715