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 Balanced Growth

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

16/07/2025

7.897219

7.877525

15/07/2025

7.899862

7.880162

14/07/2025

7.916970

7.897227

11/07/2025

7.915041

7.895303

10/07/2025

7.938495

7.918698

09/07/2025

7.922408

7.902651

08/07/2025

7.931569

7.911790

07/07/2025

7.941497

7.921693

04/07/2025

7.963250

7.943392

03/07/2025

7.954418

7.934582

02/07/2025

7.940112

7.920311

01/07/2025

7.917327

7.897583

30/06/2025

7.876433

7.856791

27/06/2025

7.869738

7.850113

26/06/2025

7.854644

7.835056

25/06/2025

7.840843

7.821290

24/06/2025

7.847684

7.828114

23/06/2025

7.819008

7.799509

20/06/2025

7.811027

7.791548

19/06/2025

7.822775

7.803267

18/06/2025

7.808032

7.788561

17/06/2025

7.820063

7.800562

16/06/2025

7.832375

7.812843

13/06/2025

7.835619

7.816079

12/06/2025

7.864719

7.845106

11/06/2025

7.856477

7.836885

10/06/2025

7.847293

7.827724

06/06/2025

7.805298

7.785833

05/06/2025

7.783457

7.764047

04/06/2025

7.798436

7.778989