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

Fidelity Australian Equities

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

20/12/2019

2.472736

2.462885

19/12/2019

2.476291

2.466425

18/12/2019

2.481504

2.471617

17/12/2019

2.482119

2.472230

16/12/2019

2.482258

2.472369

13/12/2019

2.445278

2.435536

12/12/2019

2.430399

2.420716

11/12/2019

2.443697

2.433961

10/12/2019

2.426717

2.417048

09/12/2019

2.436279

2.426572

06/12/2019

2.425630

2.415966

05/12/2019

2.414862

2.405241

04/12/2019

2.392186

2.382655

03/12/2019

2.431350

2.421663

02/12/2019

2.481987

2.472098

30/11/2019

2.477351

2.467481

29/11/2019

2.477351

2.467481

28/11/2019

2.484646

2.474747

27/11/2019

2.481041

2.471156

26/11/2019

2.461040

2.451235

25/11/2019

2.439795

2.430075

22/11/2019

2.427731

2.418058

21/11/2019

2.414993

2.405371

20/11/2019

2.431159

2.421474

19/11/2019

2.465425

2.455603

18/11/2019

2.454841

2.445061

15/11/2019

2.463624

2.453809

14/11/2019

2.444077

2.434340

13/11/2019

2.429277

2.419599

12/11/2019

2.449213

2.439455