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 Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

01/12/2021

0.969452

0.967516

30/11/2021

0.969456

0.967520

29/11/2021

0.969269

0.967333

26/11/2021

0.969328

0.967392

25/11/2021

0.970335

0.968397

24/11/2021

0.970392

0.968454

23/11/2021

0.970576

0.968636

22/11/2021

0.970603

0.968663

19/11/2021

0.969656

0.967718

18/11/2021

0.969599

0.967661

17/11/2021

0.969464

0.967528

16/11/2021

0.971065

0.969125

15/11/2021

0.971550

0.969608

12/11/2021

0.971180

0.969240

11/11/2021

0.971147

0.969207

10/11/2021

0.971876

0.969934

09/11/2021

0.970702

0.968762

08/11/2021

0.970943

0.969003

05/11/2021

0.970232

0.968294

04/11/2021

0.970393

0.968455

03/11/2021

0.970829

0.968889

02/11/2021

0.970316

0.968378

01/11/2021

0.970984

0.969044

31/10/2021

0.970124

0.968186

29/10/2021

0.970124

0.968186

28/10/2021

0.971469

0.969529

27/10/2021

0.971282

0.969342

26/10/2021

0.971674

0.969732

25/10/2021

0.971742

0.969800

22/10/2021

0.971796

0.969854