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

Perpetual Concentrated Equity

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

19/01/2021

5.092158

5.076927

18/01/2021

5.024204

5.009176

15/01/2021

5.065063

5.049913

14/01/2021

5.063279

5.048134

13/01/2021

5.060653

5.045516

12/01/2021

5.009281

4.994299

11/01/2021

5.017064

5.002058

08/01/2021

5.046303

5.031209

07/01/2021

5.025650

5.010618

06/01/2021

4.925479

4.910747

05/01/2021

4.958160

4.943330

04/01/2021

4.971957

4.957085

31/12/2020

4.933331

4.918576

30/12/2020

4.984793

4.969884

29/12/2020

4.977553

4.962665

24/12/2020

4.950534

4.935726

23/12/2020

4.935520

4.920758

22/12/2020

4.900991

4.886332

21/12/2020

4.964616

4.949767

18/12/2020

4.951407

4.936597

17/12/2020

5.002371

4.987408

16/12/2020

4.958179

4.943349

15/12/2020

4.935727

4.920964

14/12/2020

4.966116

4.951262

11/12/2020

4.948194

4.933394

10/12/2020

4.976418

4.961534

09/12/2020

5.006008

4.991034

08/12/2020

4.989460

4.974537

07/12/2020

4.979633

4.964739

04/12/2020

4.961377

4.946537