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 Term Allocated Pension Plan

As of Date Entry Price Exit Price

28/05/2020

1.566441

1.555552

27/05/2020

1.563812

1.552941

26/05/2020

1.563695

1.552825

25/05/2020

1.560969

1.550118

22/05/2020

1.559875

1.549032

21/05/2020

1.560720

1.549871

20/05/2020

1.559813

1.548970

19/05/2020

1.558267

1.547435

18/05/2020

1.554306

1.543501

15/05/2020

1.552452

1.541660

14/05/2020

1.551934

1.541146

13/05/2020

1.553615

1.542816

12/05/2020

1.554209

1.543406

11/05/2020

1.556065

1.545249

08/05/2020

1.555866

1.545051

07/05/2020

1.555543

1.542432

06/05/2020

1.553945

1.540847

05/05/2020

1.553831

1.540734

04/05/2020

1.554171

1.541072

01/05/2020

1.555100

1.541993

30/04/2020

1.555980

1.542866

29/04/2020

1.555440

1.542330

28/04/2020

1.554915

1.541810

27/04/2020

1.556167

1.543051

24/04/2020

1.553375

1.540283

23/04/2020

1.552801

1.530608

22/04/2020

1.551021

1.528852

21/04/2020

1.549295

1.527151

20/04/2020

1.551017

1.528849

17/04/2020

1.550347

1.528189