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

05/10/2022

2.228560

2.223002

04/10/2022

2.217795

2.212264

30/09/2022

2.126438

2.121135

29/09/2022

2.125000

2.119701

28/09/2022

2.142334

2.136992

27/09/2022

2.121534

2.116243

26/09/2022

2.123804

2.118508

23/09/2022

2.138438

2.133105

21/09/2022

2.171897

2.166481

20/09/2022

2.194776

2.189303

19/09/2022

2.219205

2.213671

16/09/2022

2.211141

2.205627

15/09/2022

2.231998

2.226432

14/09/2022

2.227211

2.221657

13/09/2022

2.237540

2.231960

12/09/2022

2.265935

2.260284

09/09/2022

2.245530

2.239930

08/09/2022

2.240304

2.234717

07/09/2022

2.230541

2.224979

06/09/2022

2.197427

2.191947

05/09/2022

2.195356

2.189881

02/09/2022

2.184114

2.178667

01/09/2022

2.203488

2.197993

31/08/2022

2.193977

2.188506

30/08/2022

2.211365

2.205850

29/08/2022

2.225554

2.220004

26/08/2022

2.226735

2.221182

25/08/2022

2.259582

2.253947

24/08/2022

2.248113

2.242507

23/08/2022

2.238943

2.233360