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

01/10/2019

4.139136

4.118543

30/09/2019

4.097822

4.077435

27/09/2019

4.114822

4.094350

26/09/2019

4.088152

4.067813

25/09/2019

4.109972

4.089525

24/09/2019

4.131885

4.111328

23/09/2019

4.134816

4.114245

20/09/2019

4.121458

4.100953

19/09/2019

4.117678

4.097192

18/09/2019

4.093746

4.073379

17/09/2019

4.105901

4.085474

16/09/2019

4.091495

4.071139

13/09/2019

4.103115

4.082702

12/09/2019

4.101076

4.080672

11/09/2019

4.093143

4.072779

10/09/2019

4.074373

4.054102

09/09/2019

4.088308

4.067968

06/09/2019

4.088566

4.068224

05/09/2019

4.072133

4.051874

04/09/2019

4.048775

4.028632

03/09/2019

4.060132

4.039932

02/09/2019

4.055999

4.035820

31/08/2019

4.073540

4.053273

30/08/2019

4.073540

4.053273

29/08/2019

4.023068

4.003053

28/08/2019

4.014779

3.994805

27/08/2019

3.998586

3.978692

26/08/2019

3.983658

3.963839

23/08/2019

4.030096

4.010045

22/08/2019

4.008574

3.988631