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 Diversified Real Return

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/06/2025

1.413595

1.410773

04/06/2025

1.415625

1.412799

03/06/2025

1.417814

1.414984

02/06/2025

1.416026

1.413200

30/05/2025

1.415168

1.412343

29/05/2025

1.414195

1.411372

28/05/2025

1.413761

1.410939

27/05/2025

1.414893

1.412069

26/05/2025

1.409278

1.406465

23/05/2025

1.412212

1.409393

22/05/2025

1.410597

1.407781

21/05/2025

1.409588

1.406774

20/05/2025

1.416914

1.414086

19/05/2025

1.410760

1.407944

16/05/2025

1.413488

1.410667

15/05/2025

1.409080

1.406267

14/05/2025

1.403568

1.400766

13/05/2025

1.407029

1.404221

12/05/2025

1.409207

1.406394

09/05/2025

1.405634

1.402828

08/05/2025

1.402272

1.399473

07/05/2025

1.400491

1.397696

06/05/2025

1.398180

1.395389

05/05/2025

1.395596

1.392810

02/05/2025

1.396986

1.394198

01/05/2025

1.397966

1.395176

30/04/2025

1.396585

1.393797

29/04/2025

1.396219

1.393432

28/04/2025

1.391605

1.388827

24/04/2025

1.387992

1.385222