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

12/11/2025

3.710334

3.705147

11/11/2025

3.712929

3.707738

10/11/2025

3.683718

3.678568

07/11/2025

3.684028

3.678878

06/11/2025

3.677765

3.672623

05/11/2025

3.701173

3.695999

04/11/2025

3.704004

3.698826

03/11/2025

3.702745

3.697568

31/10/2025

3.685346

3.680194

30/10/2025

3.674058

3.668922

29/10/2025

3.694983

3.689817

28/10/2025

3.751156

3.745912

27/10/2025

3.761002

3.755744

24/10/2025

3.764202

3.758939

23/10/2025

3.742985

3.737752

22/10/2025

3.745175

3.739939

21/10/2025

3.781586

3.776299

20/10/2025

3.760391

3.755134

17/10/2025

3.736392

3.731168

16/10/2025

3.703041

3.697864

15/10/2025

3.707107

3.701924

14/10/2025

3.700761

3.695587

13/10/2025

3.675699

3.670560

10/10/2025

3.630895

3.625819

09/10/2025

3.692066

3.686904

08/10/2025

3.703223

3.698046

07/10/2025

3.687969

3.682813

03/10/2025

3.678167

3.673025

02/10/2025

3.676095

3.670956

01/10/2025

3.644309

3.639214