What can we help you find?
Search by Topic

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

21/12/2023

3.323695

3.315076

20/12/2023

3.320003

3.311393

19/12/2023

3.341718

3.333052

18/12/2023

3.355684

3.346982

15/12/2023

3.344017

3.335345

14/12/2023

3.362392

3.353672

13/12/2023

3.379752

3.370987

12/12/2023

3.362837

3.354116

11/12/2023

3.356429

3.347725

08/12/2023

3.336040

3.327389

07/12/2023

3.325620

3.316996

06/12/2023

3.323976

3.315356

05/12/2023

3.332541

3.323899

04/12/2023

3.316111

3.307511

01/12/2023

3.316111

3.307511

30/11/2023

3.293131

3.284591

29/11/2023

3.282622

3.274109

28/11/2023

3.277323

3.268824

27/11/2023

3.294376

3.285833

24/11/2023

3.310959

3.302373

23/11/2023

3.315404

3.306806

22/11/2023

3.321252

3.312639

21/11/2023

3.301770

3.293208

20/11/2023

3.309563

3.300980

17/11/2023

3.317464

3.308861

16/11/2023

3.313231

3.304639

15/11/2023

3.304990

3.296419

14/11/2023

3.311459

3.302872

13/11/2023

3.311545

3.302957

10/11/2023

3.313756

3.305163