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 WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/12/2016

3.866757

3.855192

02/12/2016

3.892220

3.880579

01/12/2016

3.921976

3.910246

30/11/2016

3.880682

3.869075

29/11/2016

3.891864

3.880223

28/11/2016

3.908933

3.897242

25/11/2016

3.934257

3.922489

24/11/2016

3.909888

3.898194

23/11/2016

3.913689

3.901983

22/11/2016

3.874966

3.863376

21/11/2016

3.844282

3.832784

18/11/2016

3.851332

3.839813

17/11/2016

3.819299

3.807875

16/11/2016

3.833198

3.821733

15/11/2016

3.828015

3.816565

14/11/2016

3.818364

3.806943

11/11/2016

3.820944

3.809515

10/11/2016

3.774364

3.763075

09/11/2016

3.653186

3.642259

08/11/2016

3.732051

3.720889

07/11/2016

3.734775

3.723604

04/11/2016

3.686635

3.675609

03/11/2016

3.700867

3.689797

02/11/2016

3.711548

3.700447

01/11/2016

3.762610

3.751356

31/10/2016

3.774210

3.762921

28/10/2016

3.778990

3.767687

27/10/2016

3.798696

3.787334

26/10/2016

3.826531

3.815086

25/10/2016

3.882178

3.870567