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

10/09/2020

4.286191

4.273370

09/09/2020

4.269357

4.256587

08/09/2020

4.358572

4.345535

07/09/2020

4.316556

4.303645

04/09/2020

4.304090

4.291216

03/09/2020

4.413068

4.399868

02/09/2020

4.363294

4.350243

01/09/2020

4.275656

4.262868

31/08/2020

4.349946

4.336935

28/08/2020

4.369027

4.355959

27/08/2020

4.369906

4.356835

26/08/2020

4.362066

4.349018

25/08/2020

4.378411

4.365315

24/08/2020

4.354155

4.341132

21/08/2020

4.352989

4.339969

20/08/2020

4.327312

4.314369

19/08/2020

4.367120

4.354058

18/08/2020

4.336826

4.323854

17/08/2020

4.312002

4.299105

14/08/2020

4.338479

4.325502

13/08/2020

4.327433

4.314489

12/08/2020

4.340384

4.327402

11/08/2020

4.336779

4.323808

10/08/2020

4.309979

4.297087

07/08/2020

4.249004

4.236295

06/08/2020

4.263027

4.250276

05/08/2020

4.220813

4.208188

04/08/2020

4.240721

4.228037

31/07/2020

4.166574

4.154111

30/07/2020

4.248157

4.235451