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 Growth

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

20/01/2026

3.740990

3.732033

19/01/2026

3.762717

3.753708

16/01/2026

3.773645

3.764610

15/01/2026

3.765844

3.756828

14/01/2026

3.757038

3.748043

13/01/2026

3.752451

3.743467

12/01/2026

3.740998

3.732041

09/01/2026

3.741458

3.732500

08/01/2026

3.734344

3.725403

07/01/2026

3.725117

3.716198

06/01/2026

3.725733

3.716813

05/01/2026

3.717168

3.708268

02/01/2026

3.704716

3.695846

31/12/2025

3.704873

3.696003

30/12/2025

3.707029

3.698153

29/12/2025

3.705411

3.696539

24/12/2025

3.702753

3.693888

23/12/2025

3.700168

3.691309

22/12/2025

3.688174

3.679344

19/12/2025

3.683339

3.674520

18/12/2025

3.676177

3.667375

17/12/2025

3.672345

3.663552

16/12/2025

3.673573

3.664778

15/12/2025

3.683626

3.674806

12/12/2025

3.686882

3.678055

11/12/2025

3.677115

3.668311

10/12/2025

3.667351

3.658570

09/12/2025

3.666554

3.657775

08/12/2025

3.680146

3.671335

05/12/2025

3.683634

3.674814