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 Balanced Growth

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

16/01/2025

7.601656

7.582699

15/01/2025

7.547502

7.528680

14/01/2025

7.535914

7.517121

13/01/2025

7.515274

7.496533

10/01/2025

7.560139

7.541286

09/01/2025

7.581456

7.562550

08/01/2025

7.580344

7.561440

07/01/2025

7.565989

7.547121

06/01/2025

7.565867

7.547000

03/01/2025

7.581407

7.562501

02/01/2025

7.551167

7.532336

31/12/2024

7.548149

7.529326

30/12/2024

7.542463

7.523654

27/12/2024

7.569464

7.550588

24/12/2024

7.556810

7.537965

23/12/2024

7.532467

7.513683

20/12/2024

7.471565

7.452933

19/12/2024

7.494508

7.475818

18/12/2024

7.559317

7.540466

17/12/2024

7.578721

7.559821

16/12/2024

7.566685

7.547815

13/12/2024

7.605076

7.586111

12/12/2024

7.626201

7.607183

11/12/2024

7.655088

7.635998

10/12/2024

7.659992

7.640890

09/12/2024

7.642929

7.623869

06/12/2024

7.671024

7.651894

05/12/2024

7.676006

7.656864

04/12/2024

7.672381

7.653248

03/12/2024

7.677117

7.657972