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 Conservative Growth

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

16/06/2020

3.991165

3.977641

15/06/2020

3.965000

3.951565

12/06/2020

3.973723

3.960258

11/06/2020

3.978438

3.964957

10/06/2020

4.003760

3.990193

09/06/2020

4.006856

3.993279

05/06/2020

3.989967

3.976448

04/06/2020

3.979709

3.966224

03/06/2020

3.983172

3.969675

02/06/2020

3.969782

3.956331

01/06/2020

3.969374

3.955924

31/05/2020

3.973876

3.960411

29/05/2020

3.973876

3.960411

28/05/2020

3.977598

3.962146

27/05/2020

3.976421

3.960973

26/05/2020

3.963409

3.948012

25/05/2020

3.953213

3.937855

22/05/2020

3.939343

3.924039

21/05/2020

3.942128

3.926813

20/05/2020

3.938393

3.923093

19/05/2020

3.932447

3.917170

18/05/2020

3.936742

3.921449

15/05/2020

3.924996

3.909748

14/05/2020

3.915327

3.900116

13/05/2020

3.914618

3.899411

12/05/2020

3.921102

3.905869

11/05/2020

3.934634

3.919349

08/05/2020

3.929415

3.914150

07/05/2020

3.923182

3.906384

06/05/2020

3.919374

3.902592