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

05/12/2019

5.724335

5.707214

04/12/2019

5.671071

5.654109

03/12/2019

5.741668

5.724494

02/12/2019

5.829569

5.812133

30/11/2019

5.829345

5.811909

29/11/2019

5.829345

5.811909

28/11/2019

5.837762

5.820301

27/11/2019

5.831523

5.814081

26/11/2019

5.787475

5.770164

25/11/2019

5.768362

5.751108

22/11/2019

5.764515

5.747273

21/11/2019

5.749533

5.732336

20/11/2019

5.781760

5.764466

19/11/2019

5.819935

5.802527

18/11/2019

5.816299

5.798902

15/11/2019

5.851611

5.834108

14/11/2019

5.805260

5.787896

13/11/2019

5.757806

5.740584

12/11/2019

5.774188

5.756917

11/11/2019

5.780275

5.762986

08/11/2019

5.758531

5.741307

07/11/2019

5.756370

5.739152

06/11/2019

5.726731

5.709602

05/11/2019

5.757282

5.740062

04/11/2019

5.728070

5.710937

01/11/2019

5.712863

5.695776

31/10/2019

5.715361

5.698266

30/10/2019

5.719108

5.702002

29/10/2019

5.772325

5.755060

28/10/2019

5.793051

5.775724