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

09/07/2019

4.113670

4.093204

08/07/2019

4.116481

4.096001

05/07/2019

4.153959

4.133292

04/07/2019

4.135073

4.114501

03/07/2019

4.115889

4.095412

02/07/2019

4.097011

4.076628

01/07/2019

4.087879

4.067541

30/06/2019

4.055541

4.035364

28/06/2019

4.055541

4.035364

27/06/2019

4.069708

4.049461

26/06/2019

4.056413

4.036232

25/06/2019

4.067563

4.047327

24/06/2019

4.076023

4.055744

21/06/2019

4.071335

4.051079

20/06/2019

4.098818

4.078425

19/06/2019

4.079095

4.058801

18/06/2019

4.046110

4.025980

17/06/2019

4.022787

4.002773

14/06/2019

4.035255

4.015179

13/06/2019

4.035220

4.015145

12/06/2019

4.027031

4.006996

11/06/2019

4.037558

4.017471

07/06/2019

3.983067

3.963250

06/06/2019

3.951858

3.932197

05/06/2019

3.939189

3.919591

04/06/2019

3.929408

3.909858

03/06/2019

3.917778

3.898286

31/05/2019

3.955218

3.935540

30/05/2019

3.967705

3.947965

29/05/2019

3.982152

3.962340