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

Investors Mutual Australian Share

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

04/12/2025

5.909218

5.879819

03/12/2025

5.896686

5.867349

02/12/2025

5.916504

5.887069

01/12/2025

5.908835

5.879438

30/11/2025

5.963058

5.933391

28/11/2025

5.963058

5.933391

27/11/2025

5.972751

5.943036

25/11/2025

5.923159

5.893691

24/11/2025

5.940979

5.911422

21/11/2025

5.862642

5.833475

20/11/2025

5.916647

5.887211

19/11/2025

5.884542

5.855266

18/11/2025

5.901011

5.871653

17/11/2025

5.992148

5.962336

14/11/2025

5.995483

5.965655

13/11/2025

6.036243

6.006212

12/11/2025

6.061407

6.031251

11/11/2025

6.069363

6.039167

10/11/2025

6.064972

6.034798

07/11/2025

6.038198

6.008157

06/11/2025

6.039968

6.009918

05/11/2025

5.990753

5.960948

04/11/2025

5.976008

5.946277

03/11/2025

6.015662

5.985733

31/10/2025

6.039202

6.009156

30/10/2025

6.060576

6.030424

29/10/2025

6.062257

6.032097

28/10/2025

6.136991

6.106459

27/10/2025

6.188522

6.157733

24/10/2025

6.165241

6.134568