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

18/01/2021

3.882189

3.862875

15/01/2021

3.907422

3.887982

14/01/2021

3.912586

3.893121

13/01/2021

3.909611

3.890160

12/01/2021

3.902434

3.883018

11/01/2021

3.908278

3.888834

08/01/2021

3.938277

3.918684

07/01/2021

3.912914

3.893446

06/01/2021

3.856747

3.837559

05/01/2021

3.884037

3.864713

04/01/2021

3.892594

3.873228

31/12/2020

3.841744

3.822631

30/12/2020

3.898282

3.878887

29/12/2020

3.901149

3.881740

24/12/2020

3.885997

3.866664

23/12/2020

3.874378

3.855102

22/12/2020

3.851999

3.832835

21/12/2020

3.887015

3.867677

18/12/2020

3.904134

3.884711

17/12/2020

3.931811

3.912250

16/12/2020

3.910290

3.890836

15/12/2020

3.901443

3.882033

14/12/2020

3.909754

3.890303

11/12/2020

3.909964

3.890511

10/12/2020

3.950917

3.931260

09/12/2020

3.978316

3.958524

08/12/2020

3.951328

3.931669

07/12/2020

3.951473

3.931814

04/12/2020

3.929121

3.909573

03/12/2020

3.921808

3.902296