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Unit Prices

Perpetual Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

29/12/2022

0.963385

0.961461

28/12/2022

0.963215

0.961291

23/12/2022

0.961863

0.959941

22/12/2022

0.961563

0.959641

21/12/2022

0.960388

0.958470

20/12/2022

0.959649

0.957731

19/12/2022

0.960192

0.958274

16/12/2022

0.959154

0.957238

15/12/2022

0.959339

0.957423

14/12/2022

0.959108

0.957192

13/12/2022

0.959000

0.957084

12/12/2022

0.958651

0.956735

09/12/2022

0.958567

0.956651

08/12/2022

0.957807

0.955893

07/12/2022

0.956787

0.954875

06/12/2022

0.956974

0.955062

05/12/2022

0.957275

0.955363

02/12/2022

0.955504

0.953594

01/12/2022

0.955208

0.953300

30/11/2022

0.954759

0.952851

29/11/2022

0.955558

0.953648

28/11/2022

0.955219

0.953311

25/11/2022

0.954892

0.952984

24/11/2022

0.954260

0.952354

23/11/2022

0.953845

0.951939

22/11/2022

0.953065

0.951161

21/11/2022

0.952932

0.951028

18/11/2022

0.953183

0.951279

17/11/2022

0.952622

0.950718

16/11/2022

0.950912

0.949012