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

24/11/2025

3.121191

3.113407

21/11/2025

3.125317

3.117523

20/11/2025

3.083564

3.075874

19/11/2025

3.099978

3.092247

18/11/2025

3.110572

3.102815

17/11/2025

3.125533

3.117739

14/11/2025

3.145247

3.137403

13/11/2025

3.170170

3.162264

12/11/2025

3.180079

3.172149

11/11/2025

3.171738

3.163828

10/11/2025

3.148765

3.140913

07/11/2025

3.147938

3.140088

06/11/2025

3.134955

3.127137

05/11/2025

3.118630

3.110853

04/11/2025

3.109989

3.102233

03/11/2025

3.124935

3.117142

31/10/2025

3.121576

3.113792

30/10/2025

3.106077

3.098331

29/10/2025

3.099614

3.091884

28/10/2025

3.133912

3.126097

27/10/2025

3.167272

3.159374

24/10/2025

3.170648

3.162741

23/10/2025

3.159403

3.151524

22/10/2025

3.161488

3.153604

21/10/2025

3.174530

3.166613

20/10/2025

3.151736

3.143876

17/10/2025

3.120247

3.112466

16/10/2025

3.118523

3.110746

15/10/2025

3.112552

3.104790

14/10/2025

3.107106

3.099358