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Unit Prices

Perpetual Balanced Growth Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

28/03/2025

1.300156

1.296914

27/03/2025

1.304762

1.301508

26/03/2025

1.308151

1.304889

25/03/2025

1.307210

1.303950

24/03/2025

1.308326

1.305063

21/03/2025

1.305234

1.301979

20/03/2025

1.306886

1.303627

19/03/2025

1.301604

1.298358

18/03/2025

1.301247

1.298002

17/03/2025

1.299378

1.296138

14/03/2025

1.292754

1.289530

13/03/2025

1.285269

1.282064

12/03/2025

1.288970

1.285756

11/03/2025

1.295288

1.292058

10/03/2025

1.301721

1.298475

07/03/2025

1.306260

1.303002

06/03/2025

1.308516

1.305253

05/03/2025

1.312490

1.309217

04/03/2025

1.315609

1.312328

03/03/2025

1.322170

1.318873

28/02/2025

1.320544

1.317251

27/02/2025

1.320380

1.317087

26/02/2025

1.316885

1.313601

25/02/2025

1.317513

1.314227

24/02/2025

1.317394

1.314109

21/02/2025

1.315542

1.312261

20/02/2025

1.318100

1.314813

19/02/2025

1.324699

1.321396

18/02/2025

1.326733

1.323424

17/02/2025

1.327842

1.324531