What can we help you find?
Search by Topic

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 Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

09/05/2023

0.967504

0.964606

08/05/2023

0.967677

0.964779

05/05/2023

0.966885

0.963989

04/05/2023

0.965479

0.962587

03/05/2023

0.965871

0.962977

02/05/2023

0.966271

0.963377

01/05/2023

0.967316

0.964418

30/04/2023

0.966159

0.963265

28/04/2023

0.966159

0.963265

27/04/2023

0.966668

0.963772

26/04/2023

0.965809

0.962915

24/04/2023

0.967007

0.964111

21/04/2023

0.966853

0.963957

20/04/2023

0.966863

0.963967

19/04/2023

0.967129

0.964231

18/04/2023

0.967146

0.964248

17/04/2023

0.966494

0.963598

14/04/2023

0.965598

0.962706

13/04/2023

0.964314

0.961426

12/04/2023

0.963788

0.960900

11/04/2023

0.963571

0.960685

06/04/2023

0.962777

0.959893

05/04/2023

0.962697

0.959813

04/04/2023

0.962898

0.960014

03/04/2023

0.963154

0.960268

31/03/2023

0.980552

0.977614

30/03/2023

0.980430

0.977494

29/03/2023

0.979709

0.976775

28/03/2023

0.979449

0.976515

27/03/2023

0.979373

0.976439