What can we help you find?
Search by Topic

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

01/11/2023

5.621372

5.598976

31/10/2023

5.583082

5.560839

30/10/2023

5.567432

5.545251

27/10/2023

5.616180

5.593805

26/10/2023

5.608928

5.586582

25/10/2023

5.631743

5.609306

24/10/2023

5.637701

5.615240

23/10/2023

5.649115

5.626609

20/10/2023

5.698677

5.675973

19/10/2023

5.754910

5.731982

18/10/2023

5.834408

5.811163

17/10/2023

5.822360

5.799163

16/10/2023

5.793839

5.770756

13/10/2023

5.808969

5.785826

12/10/2023

5.839015

5.815752

11/10/2023

5.827708

5.804490

10/10/2023

5.788561

5.765499

09/10/2023

5.734861

5.712013

06/10/2023

5.721095

5.698302

05/10/2023

5.701385

5.678670

04/10/2023

5.671689

5.649093

03/10/2023

5.721106

5.698313

30/09/2023

5.802796

5.779677

29/09/2023

5.802796

5.779677

28/09/2023

5.782414

5.759376

27/09/2023

5.771856

5.748861

26/09/2023

5.776647

5.753632

25/09/2023

5.804113

5.780989

22/09/2023

5.802413

5.779296

21/09/2023

5.798069

5.774969