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Perpetual Charitable Endowment Fund

Resources

The PDS summarises information about Perpetual Charitable Endowment Fund. The additional information document contains further information including fees, fund operations, tax and general information.

October 28, 2024. We refer to the distributions posted on the Distribution History webpage between 14 August 2024 to 19 September 2024. During this period, the Distribution History for this product incorrectly displayed duplicates of the September 2023 and December 2023 distribution records for the 2024 Financial Year, and resulted in an inaccurate subtotal for the 2024 Financial Year. This has been rectified and the correct distribution history has been displayed on our website from 19 September 2024. The Distribution data summary included in this product page was not impacted.
We sincerely apologise for any inconvenience caused. If you have any questions, please email us at investments@perpetual.com.au or phone us on 1800 022 033 during business hours (Sydney time).

Pricing & Performance

Fund Commencement: November 2010

Unit Pricing

As at
Entry 1.250
Exit 1.248
View Price History

Distributions

Frequency
Quarterly
Cents per Unit
0.456
Reinvestment Price
1.239
View Distribution History

Performance

As at

Returns

As at
Growth (%) Distribution (%) Total (%)
1 month -0.63% -- -0.63%
3 month 1.08% 0.37% 1.45%
6 month 2.60% 3.71% 6.31%
1 year 14.86% 5.02% 19.88%
3 year -1.70% 6.97% 5.27%
5 year -0.48% 5.89% 5.40%
10 year 0.39% 5.53% 5.92%

Investment Approach

The Fund combines specialist investment managers with different investment styles and philosophies. The Fund is managed according to its investment guidelines which have a set exposure to each investment manager. The Fund is regularly reviewed and re-weighted to the set investment guideline. This can help reduce the volatility of the investment by avoiding over exposure to a particular investment manager.

Details & Fees

Investment Objective Aims to provide income tax exempt investors such as charitable endowments and foundations with income and long-term capital growth through an investment in a diversified portfolio with an emphasis on Australian Shares.
Minimum Suggested Timeframe 5 years or longer
Fund Manager Perpetual Investment Management Limited
Asset Class Diversified
Minimum Initial Investment Nil
Minimum Initial Investment (with saving plan) Nil Monthly Minimum Nil
Minimum Additional Investment Nil
Alternative assets 0 - 30%
Australian fixed income 0 - 20%
Australian shares 25 - 60%
Cash 0 - 30%
International fixed income 0 - 20%
International shares 0 - 30%
Real estate 5 - 15%
Quarterly March 31, June 30, September 30, December 31
Entry 0
Exit 0
Management Fee (p.a.) 1.05%
Buy / Sell Spread 0.2% / Nil
Management Notes Refer to PDS for estimated total ongoing annual fees and costs. Perpetual Investment Management Limited, as the responsible entity and product issuer, irrevocably elects to apply the declarations in ASIC Corporations (Disclosure of Fees and Costs) Instrument 2019/1070 from 1 October 2020.

How to Invest

Perpetual Select Investment Funds New application
Perpetual Select Investment Funds Additional investment application

Perpetual Select Investment Funds are designed for investors who want a choice of investment options and a simple convenient way to manage and diversify their portfolios. Applications to invest in Perpetual Select Investment Funds can be made via the post where completed application & documents should be sent to the address below. 

 

Before applying, please review the Product Diisclosue Statement (PDS) and other offer documents and consider your investment option carefully.

 

Applications for additional investment or to make changes to your Select Fund can be made via the post where the completed application should be sent to the address below.

 

Reply Paid 4171

Perpetual Select Investment Funds

GPO Box 4171, Sydney NSW 2001

 

Information on Customer Identification Requirements

Investment Forms, PDSs and Offer Documents

Find out more about Perpetual Select Investment Funds

Continuous disclosures and important updated for Perpetual Select Investment Funds.

Existing investors
Perpetual Select Investment Funds Investor portal
Perpetual Select Investment Funds additional investment Download application

Perpetual, WealthFocus, and Select investors can make additional investments to their fund through the online investor portal myPerpetual, or via the post where completed application and documents should be sent to the address detailed below.

Before applying, review the current PDS and related documents. They may have changed since you first invested.

 

Perpetual Select Investment Funds

GPO Box 4171, Sydney NSW 2001

 

Information on Customer Identification Requirements

Investment Forms, PDSs and Offer Documents

Perpetual select investments continuous disclosure and important updates

Find out more about Perpetual Select Investment Funds

Perpetual Select Investments advisor portal Login to myPerpetual
Perpteual Select Investment Funds application form Download application

Applications for Perpetual Select Investment Funds can be made via investor directed portfolio services. Financial advisers can make applications through the Perpetual application portal online, or via the post where completed application & documents should be sent to this address:

 

Perpetual Select Investment Funds

GPO Box 4171, Sydney NSW 2001

 

Before applying for a Perpetual Select Investment Fund, it's important to review the Product Disclosure Statement (PDS), and related documents to ensure you understand how the plan works and the risks involved.

 

Information on Customer Identification Requirements

Investment Forms, PDSs and Offer Documents

Find out more about Perpetual WealthFocus Investment Funds

Perpetual select investment funds continuous disclosure and important information updates

 

Perpetual Investment Management Limited ABN 18 000 866 535 AFSL 234426 and/or Perpetual Superannuation Limited ABN 84 008 416 831 AFSL 225246 are the issuers of the Funds. you should consider the relevant Fund product disclosure statement or other offer document before deciding whether to invest. The product disclosure statements and target market determinations for the Funds are available on this website.

Returns have been calculated using exit prices after taking into account all ongoing fees, and assuming reinvestment of distributions. No allowance has been made for entry fees, exit fees or where applicable taxation. Future returns may bear no relationship to the historical information displayed. The returns shown represent past returns only and are not indicative of future returns of a Fund. Returns on a Fund can be particularly volatile in the short term and in some periods may be negative.