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 Investment Funds

As of Date Entry Price Exit Price

24/09/2025

3.100903

3.093170

23/09/2025

3.091058

3.083350

22/09/2025

3.092979

3.085266

19/09/2025

3.090548

3.082841

18/09/2025

3.095188

3.087469

17/09/2025

3.064711

3.057068

16/09/2025

3.051503

3.043893

15/09/2025

3.050626

3.043018

12/09/2025

3.058780

3.051152

11/09/2025

3.066445

3.058798

10/09/2025

3.041307

3.033723

09/09/2025

3.050179

3.042573

08/09/2025

3.055447

3.047827

05/09/2025

3.063375

3.055736

04/09/2025

3.065540

3.057895

03/09/2025

3.034824

3.027256

02/09/2025

3.049817

3.042211

01/09/2025

3.062532

3.054895

31/08/2025

3.058929

3.051301

29/08/2025

3.058929

3.051301

28/08/2025

3.073048

3.065385

27/08/2025

3.087779

3.080079

26/08/2025

3.084009

3.076318

25/08/2025

3.090516

3.082809

22/08/2025

3.107238

3.099489

21/08/2025

3.071085

3.063426

20/08/2025

3.073701

3.066036

19/08/2025

3.050190

3.042584

18/08/2025

3.039588

3.032008

15/08/2025

3.026965

3.019416