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

13/12/2019

2.396732

2.383859

12/12/2019

2.377288

2.364519

11/12/2019

2.370611

2.357879

10/12/2019

2.377385

2.364616

09/12/2019

2.367202

2.354488

06/12/2019

2.370677

2.357944

05/12/2019

2.359110

2.346439

04/12/2019

2.341748

2.329170

03/12/2019

2.329424

2.316912

02/12/2019

2.350302

2.337679

30/11/2019

2.382726

2.369928

29/11/2019

2.382726

2.369928

28/11/2019

2.388997

2.376166

27/11/2019

2.385340

2.372528

26/11/2019

2.373006

2.360261

25/11/2019

2.378689

2.365913

22/11/2019

2.360266

2.347589

21/11/2019

2.345471

2.332873

20/11/2019

2.341771

2.329193

19/11/2019

2.351159

2.338531

18/11/2019

2.367074

2.354360

15/11/2019

2.360783

2.348103

14/11/2019

2.353915

2.341272

13/11/2019

2.334276

2.321738

12/11/2019

2.342790

2.330207

11/11/2019

2.343945

2.331355

08/11/2019

2.347598

2.334989

07/11/2019

2.331703

2.319180

06/11/2019

2.324137

2.311654

05/11/2019

2.322380

2.309907