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 Account Based Pension Plan

As of Date Entry Price Exit Price

12/09/2025

9.601837

9.567394

11/09/2025

9.569906

9.535578

10/09/2025

9.577929

9.543572

09/09/2025

9.630144

9.595600

08/09/2025

9.667424

9.632746

05/09/2025

9.693542

9.658770

04/09/2025

9.621012

9.586501

03/09/2025

9.525026

9.490859

02/09/2025

9.643592

9.609000

01/09/2025

9.681850

9.647120

31/08/2025

9.692537

9.657769

29/08/2025

9.692537

9.657769

28/08/2025

9.689412

9.654655

27/08/2025

9.687140

9.652391

26/08/2025

9.611414

9.576937

25/08/2025

9.637589

9.603018

22/08/2025

9.619376

9.584870

21/08/2025

9.664089

9.629423

20/08/2025

9.576515

9.542163

19/08/2025

9.491065

9.457020

18/08/2025

9.513727

9.479600

15/08/2025

9.506695

9.472594

14/08/2025

9.404966

9.371230

13/08/2025

9.360744

9.327166

12/08/2025

9.341958

9.308448

11/08/2025

9.304920

9.271542

08/08/2025

9.282764

9.249466

07/08/2025

9.335715

9.302227

06/08/2025

9.359352

9.325779

05/08/2025

9.300290

9.266929