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

13/11/2017

3.637590

3.619493

10/11/2017

3.630977

3.612912

09/11/2017

3.637878

3.619779

08/11/2017

3.617951

3.599952

07/11/2017

3.614223

3.596242

06/11/2017

3.590130

3.572268

03/11/2017

3.583672

3.565843

02/11/2017

3.570678

3.552913

01/11/2017

3.589307

3.571450

31/10/2017

3.579599

3.561790

30/10/2017

3.580844

3.563029

27/10/2017

3.575580

3.557791

26/10/2017

3.584028

3.566197

25/10/2017

3.574338

3.556555

24/10/2017

3.578177

3.560375

23/10/2017

3.578407

3.560604

20/10/2017

3.582927

3.565102

19/10/2017

3.577288

3.559490

18/10/2017

3.574466

3.556682

17/10/2017

3.568930

3.551174

16/10/2017

3.554606

3.536921

13/10/2017

3.538481

3.520877

12/10/2017

3.528680

3.511124

11/10/2017

3.508830

3.491373

10/10/2017

3.489933

3.472570

09/10/2017

3.493768

3.476386

06/10/2017

3.480894

3.463576

05/10/2017

3.457400

3.440199

04/10/2017

3.461077

3.443857

03/10/2017

3.493534

3.476154