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 Global Allocation Alpha

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

04/12/2025

4.493876

4.480435

03/12/2025

4.497964

4.484510

02/12/2025

4.494140

4.480698

01/12/2025

4.503240

4.489771

30/11/2025

4.521035

4.507512

28/11/2025

4.521035

4.507512

27/11/2025

4.514894

4.501390

26/11/2025

4.527531

4.513989

25/11/2025

4.530925

4.517373

24/11/2025

4.488267

4.474842

21/11/2025

4.472344

4.458967

20/11/2025

4.422704

4.409476

19/11/2025

4.455519

4.442192

18/11/2025

4.445084

4.431789

17/11/2025

4.470992

4.457619

14/11/2025

4.483234

4.469825

13/11/2025

4.499624

4.486166

12/11/2025

4.540397

4.526817

11/11/2025

4.532827

4.519269

10/11/2025

4.498900

4.485444

07/11/2025

4.477786

4.464393

06/11/2025

4.475025

4.461640

05/11/2025

4.472216

4.458839

04/11/2025

4.461150

4.447807

03/11/2025

4.479890

4.466491

31/10/2025

4.471081

4.457708

30/10/2025

4.463229

4.449879

29/10/2025

4.461298

4.447954

28/10/2025

4.486598

4.473178

27/10/2025

4.508924

4.495438