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 Cash

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

04/12/2025

2.645649

2.645649

03/12/2025

2.645402

2.645402

02/12/2025

2.645155

2.645155

01/12/2025

2.644908

2.644908

30/11/2025

2.644623

2.644623

28/11/2025

2.644623

2.644623

27/11/2025

2.643882

2.643882

26/11/2025

2.643635

2.643635

25/11/2025

2.643389

2.643389

24/11/2025

2.643144

2.643144

21/11/2025

2.642935

2.642935

20/11/2025

2.642153

2.642153

19/11/2025

2.641919

2.641919

18/11/2025

2.641676

2.641676

17/11/2025

2.641432

2.641432

14/11/2025

2.641236

2.641236

13/11/2025

2.640459

2.640459

12/11/2025

2.640219

2.640219

11/11/2025

2.639978

2.639978

10/11/2025

2.639733

2.639733

07/11/2025

2.639535

2.639535

06/11/2025

2.638747

2.638747

05/11/2025

2.638488

2.638488

04/11/2025

2.638234

2.638234

03/11/2025

2.637984

2.637984

31/10/2025

2.637143

2.637143

30/10/2025

2.636883

2.636883

29/10/2025

2.636627

2.636627

28/10/2025

2.636372

2.636372

27/10/2025

2.636116

2.636116