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

06/12/2022

4.392192

4.382988

05/12/2022

4.393295

4.384088

02/12/2022

4.395464

4.386253

01/12/2022

4.392932

4.383726

30/11/2022

4.387680

4.378485

29/11/2022

4.369617

4.360460

28/11/2022

4.381649

4.372467

25/11/2022

4.377014

4.367842

24/11/2022

4.368366

4.359212

23/11/2022

4.364072

4.354927

22/11/2022

4.365984

4.356835

21/11/2022

4.359434

4.350298

18/11/2022

4.348634

4.339521

17/11/2022

4.349108

4.339994

16/11/2022

4.329611

4.320538

15/11/2022

4.325643

4.316578

14/11/2022

4.327343

4.318275

11/11/2022

4.342189

4.333090

10/11/2022

4.337467

4.328377

09/11/2022

4.328314

4.319244

08/11/2022

4.304816

4.295795

07/11/2022

4.313786

4.304746

04/11/2022

4.312356

4.303319

03/11/2022

4.319800

4.310747

02/11/2022

4.331522

4.322445

01/11/2022

4.339588

4.330494

31/10/2022

4.331113

4.322037

28/10/2022

4.325793

4.316728

27/10/2022

4.310065

4.301033

26/10/2022

4.296923

4.287918