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Unit Prices

Perpetual Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

01/08/2019

0.972201

0.970258

31/07/2019

0.972193

0.970250

30/07/2019

0.971744

0.969803

29/07/2019

0.971866

0.969924

26/07/2019

0.971441

0.969500

25/07/2019

0.971294

0.969353

24/07/2019

0.971385

0.969444

23/07/2019

0.970644

0.968705

22/07/2019

0.970382

0.968443

19/07/2019

0.969994

0.968056

18/07/2019

0.969652

0.967714

17/07/2019

0.969862

0.967924

16/07/2019

0.969650

0.967713

15/07/2019

0.969912

0.967974

12/07/2019

0.969554

0.967617

11/07/2019

0.969206

0.967270

10/07/2019

0.969100

0.967163

09/07/2019

0.968747

0.966811

08/07/2019

0.969089

0.967153

05/07/2019

0.968397

0.966462

04/07/2019

0.968897

0.966961

03/07/2019

0.968453

0.966518

02/07/2019

0.968398

0.966463

01/07/2019

0.968314

0.966379

30/06/2019

0.976380

0.974429

28/06/2019

0.976380

0.974429

27/06/2019

0.976391

0.974440

26/06/2019

0.975883

0.973933

25/06/2019

0.975742

0.973792

24/06/2019

0.976002

0.974052