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Unit Prices

Morningstar Growth Real Return

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

25/05/2015

1.959321

1.953072

22/05/2015

1.958517

1.952270

21/05/2015

1.953843

1.947610

20/05/2015

1.951232

1.945008

19/05/2015

1.947842

1.941628

18/05/2015

1.944483

1.938280

15/05/2015

1.943503

1.937304

14/05/2015

1.936346

1.930169

13/05/2015

1.934738

1.928566

12/05/2015

1.937431

1.931251

11/05/2015

1.942026

1.935832

08/05/2015

1.941725

1.935531

07/05/2015

1.928300

1.922149

06/05/2015

1.934132

1.927963

05/05/2015

1.946482

1.940273

04/05/2015

1.955637

1.949399

01/05/2015

1.952002

1.945775

30/04/2015

1.948560

1.942345

29/04/2015

1.947613

1.941401

28/04/2015

1.961643

1.955386

27/04/2015

1.971940

1.965650

24/04/2015

1.969262

1.962980

23/04/2015

1.966140

1.959869

22/04/2015

1.962813

1.956552

21/04/2015

1.965561

1.959291

20/04/2015

1.962132

1.955873

17/04/2015

1.961543

1.955286

16/04/2015

1.972033

1.965743

15/04/2015

1.976673

1.970368

14/04/2015

1.973808

1.967512

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211