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Unit Prices

Fidelity Australian Equities

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

05/02/2025

3.709661

3.698565

04/02/2025

3.691235

3.680194

03/02/2025

3.687422

3.676393

31/01/2025

3.751174

3.739954

30/01/2025

3.745614

3.734411

29/01/2025

3.725326

3.714183

28/01/2025

3.700116

3.689049

24/01/2025

3.715383

3.704270

23/01/2025

3.706929

3.695841

22/01/2025

3.731623

3.720462

21/01/2025

3.714806

3.703695

20/01/2025

3.694995

3.683943

17/01/2025

3.676662

3.665665

16/01/2025

3.678622

3.667619

15/01/2025

3.625430

3.614586

14/01/2025

3.635385

3.624511

13/01/2025

3.612935

3.602129

10/01/2025

3.659115

3.648170

09/01/2025

3.676979

3.665981

08/01/2025

3.685459

3.674436

07/01/2025

3.656442

3.645505

06/01/2025

3.642027

3.631134

03/01/2025

3.641535

3.630643

02/01/2025

3.621236

3.610405

31/12/2024

3.585008

3.574285

30/12/2024

3.613824

3.603015

27/12/2024

3.622623

3.611788

24/12/2024

3.606629

3.595841

23/12/2024

3.597494

3.586734

20/12/2024

3.543676

3.533077