What can we help you find?
Search by Topic

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 Dynamic Fixed Income

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

10/10/2022

1.102601

1.100400

07/10/2022

1.103197

1.100995

06/10/2022

1.105010

1.102804

05/10/2022

1.108067

1.105855

04/10/2022

1.105800

1.103593

30/09/2022

1.099426

1.097232

29/09/2022

1.098074

1.095882

28/09/2022

1.095221

1.093035

27/09/2022

1.097798

1.095607

26/09/2022

1.098873

1.096680

23/09/2022

1.101599

1.099400

21/09/2022

1.108424

1.106212

20/09/2022

1.108750

1.106537

19/09/2022

1.107293

1.105083

16/09/2022

1.105816

1.103609

15/09/2022

1.107188

1.104978

14/09/2022

1.108561

1.106348

13/09/2022

1.110477

1.108260

12/09/2022

1.109303

1.107089

09/09/2022

1.110425

1.108209

08/09/2022

1.109737

1.107522

07/09/2022

1.105287

1.103081

06/09/2022

1.106354

1.104146

05/09/2022

1.105658

1.103451

02/09/2022

1.105597

1.103390

01/09/2022

1.104216

1.102012

31/08/2022

1.106582

1.104373

30/08/2022

1.105934

1.103727

29/08/2022

1.103957

1.101753

26/08/2022

1.105916

1.103709

Preproduction: 20241113.2 - 17.0.1+1254d9d36ff8a15a8e363672a459ef7ed9e47638