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

21/08/2025

3.701759

3.692896

20/08/2025

3.696253

3.687403

19/08/2025

3.687016

3.678188

18/08/2025

3.685321

3.676497

15/08/2025

3.686544

3.677717

14/08/2025

3.681050

3.672237

13/08/2025

3.672131

3.663339

12/08/2025

3.663984

3.655211

11/08/2025

3.652579

3.643834

08/08/2025

3.650954

3.642213

07/08/2025

3.654790

3.646040

06/08/2025

3.648425

3.639690

05/08/2025

3.646773

3.638042

01/08/2025

3.620686

3.612017

31/07/2025

3.636289

3.627583

30/07/2025

3.648446

3.639711

29/07/2025

3.639477

3.630763

28/07/2025

3.640771

3.632054

25/07/2025

3.636643

3.627936

24/07/2025

3.636283

3.627577

23/07/2025

3.646150

3.637420

22/07/2025

3.630924

3.622231

21/07/2025

3.625052

3.616373

18/07/2025

3.629992

3.621301

17/07/2025

3.624975

3.616296

16/07/2025

3.604203

3.595574

15/07/2025

3.605089

3.596458

14/07/2025

3.610718

3.602073

11/07/2025

3.610819

3.602174

10/07/2025

3.620215

3.611547