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Unit Prices

Perpetual Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

11/07/2022

0.942446

0.940562

08/07/2022

0.944045

0.942159

07/07/2022

0.943912

0.942026

06/07/2022

0.942481

0.940597

05/07/2022

0.940707

0.938827

04/07/2022

0.941884

0.940002

01/07/2022

0.940933

0.939053

30/06/2022

0.943260

0.941376

29/06/2022

0.944926

0.943038

28/06/2022

0.946724

0.944832

27/06/2022

0.947399

0.945507

24/06/2022

0.946997

0.945105

23/06/2022

0.945810

0.943920

22/06/2022

0.946108

0.944218

21/06/2022

0.947141

0.945249

20/06/2022

0.947039

0.945147

17/06/2022

0.946382

0.944492

16/06/2022

0.947567

0.945673

15/06/2022

0.946848

0.944956

14/06/2022

0.950799

0.948899

10/06/2022

0.953417

0.951513

09/06/2022

0.953405

0.951501

08/06/2022

0.954021

0.952115

07/06/2022

0.953798

0.951892

06/06/2022

0.954919

0.953011

03/06/2022

0.954386

0.952480

02/06/2022

0.954323

0.952417

01/06/2022

0.954608

0.952700

31/05/2022

0.954385

0.952479

30/05/2022

0.954744

0.952836