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

28/12/2017

4.595339

4.581595

27/12/2017

4.575729

4.562043

22/12/2017

4.580044

4.566345

21/12/2017

4.567832

4.554169

20/12/2017

4.577955

4.564262

19/12/2017

4.567450

4.553789

18/12/2017

4.550840

4.537228

15/12/2017

4.518192

4.504678

14/12/2017

4.521621

4.508097

13/12/2017

4.528151

4.514607

12/12/2017

4.526210

4.512672

11/12/2017

4.513142

4.499643

08/12/2017

4.496387

4.482938

07/12/2017

4.463913

4.450561

06/12/2017

4.440828

4.427545

05/12/2017

4.443674

4.430383

04/12/2017

4.452220

4.438903

01/12/2017

4.454062

4.440740

30/11/2017

4.444901

4.431607

29/11/2017

4.468272

4.454907

28/11/2017

4.443514

4.430223

27/11/2017

4.441220

4.427936

24/11/2017

4.436975

4.423704

23/11/2017

4.452580

4.439262

22/11/2017

4.459286

4.445948

21/11/2017

4.438717

4.425441

20/11/2017

4.429678

4.416429

17/11/2017

4.447486

4.434183

16/11/2017

4.433725

4.420464

15/11/2017

4.413153

4.399953