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 Wholesale International Share Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

09/08/2023

3.485472

3.476780

08/08/2023

3.501514

3.492782

04/08/2023

3.471441

3.462784

03/08/2023

3.487031

3.478335

02/08/2023

3.504269

3.495530

01/08/2023

3.487032

3.478336

31/07/2023

3.445501

3.436909

28/07/2023

3.466561

3.457916

27/07/2023

3.426190

3.417646

26/07/2023

3.429938

3.421385

25/07/2023

3.404407

3.395917

24/07/2023

3.413351

3.404839

21/07/2023

3.421219

3.412687

20/07/2023

3.390420

3.381965

19/07/2023

3.402192

3.393708

18/07/2023

3.350525

3.342170

17/07/2023

3.329725

3.321421

14/07/2023

3.315049

3.306782

13/07/2023

3.317129

3.308857

12/07/2023

3.340655

3.332324

11/07/2023

3.377599

3.369176

10/07/2023

3.347765

3.339416

07/07/2023

3.318822

3.310546

06/07/2023

3.336070

3.327751

05/07/2023

3.350276

3.341921

04/07/2023

3.363045

3.354658

03/07/2023

3.373602

3.365189

01/07/2023

3.373602

3.365189

30/06/2023

3.385589

3.377146

29/06/2023

3.367859

3.359460