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

01/10/2019

2.685520

2.678288

30/09/2019

2.678587

2.671375

27/09/2019

2.680875

2.673656

26/09/2019

2.677368

2.670159

25/09/2019

2.680628

2.673410

24/09/2019

2.681024

2.673805

23/09/2019

2.682478

2.675255

20/09/2019

2.680026

2.672809

19/09/2019

2.672056

2.664860

18/09/2019

2.661500

2.654334

17/09/2019

2.663422

2.656250

16/09/2019

2.662172

2.655003

13/09/2019

2.662844

2.655674

12/09/2019

2.662723

2.655553

11/09/2019

2.661795

2.654627

10/09/2019

2.655981

2.648829

09/09/2019

2.654499

2.647351

06/09/2019

2.651864

2.644723

05/09/2019

2.656170

2.649017

04/09/2019

2.650832

2.643694

03/09/2019

2.649444

2.642309

02/09/2019

2.653571

2.646425

31/08/2019

2.657771

2.650614

30/08/2019

2.657771

2.650614

29/08/2019

2.649295

2.642162

28/08/2019

2.643480

2.636362

27/08/2019

2.637460

2.630358

26/08/2019

2.635416

2.628319

23/08/2019

2.637702

2.630599

22/08/2019

2.643790

2.636671