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

10/11/2021

4.557029

4.534357

09/11/2021

4.554376

4.531717

08/11/2021

4.575218

4.552456

05/11/2021

4.579976

4.557190

04/11/2021

4.560826

4.538135

03/11/2021

4.532680

4.510129

02/11/2021

4.501238

4.478844

01/11/2021

4.520602

4.498111

31/10/2021

4.480341

4.458051

29/10/2021

4.480341

4.458051

28/10/2021

4.540443

4.517854

27/10/2021

4.551467

4.528823

26/10/2021

4.534488

4.511928

25/10/2021

4.535771

4.513205

22/10/2021

4.531590

4.509045

21/10/2021

4.531336

4.508792

20/10/2021

4.539735

4.517149

19/10/2021

4.526580

4.504060

18/10/2021

4.552476

4.529827

15/10/2021

4.545858

4.523242

14/10/2021

4.526709

4.504188

13/10/2021

4.516419

4.493949

12/10/2021

4.510189

4.487750

11/10/2021

4.508454

4.486024

08/10/2021

4.529037

4.506504

07/10/2021

4.499861

4.477474

06/10/2021

4.480474

4.458183

05/10/2021

4.499586

4.477200

01/10/2021

4.459400

4.437214

30/09/2021

4.505407

4.482992