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

21/06/2023

0.977051

0.974125

20/06/2023

0.976472

0.973546

19/06/2023

0.977332

0.974404

16/06/2023

0.976455

0.973531

15/06/2023

0.975833

0.972909

14/06/2023

0.975847

0.972923

13/06/2023

0.975875

0.972951

09/06/2023

0.974409

0.971491

08/06/2023

0.973106

0.970192

07/06/2023

0.974315

0.971397

06/06/2023

0.973476

0.970560

05/06/2023

0.972754

0.969840

02/06/2023

0.972811

0.969897

01/06/2023

0.971067

0.968159

31/05/2023

0.970835

0.967927

30/05/2023

0.970747

0.967839

29/05/2023

0.971308

0.968398

26/05/2023

0.970919

0.968011

25/05/2023

0.970909

0.968001

24/05/2023

0.970584

0.967676

23/05/2023

0.970736

0.967828

22/05/2023

0.970687

0.967779

19/05/2023

0.970062

0.967156

18/05/2023

0.969507

0.966603

17/05/2023

0.968684

0.965782

16/05/2023

0.968206

0.965306

15/05/2023

0.967786

0.964886

12/05/2023

0.967542

0.964644

11/05/2023

0.966717

0.963821

10/05/2023

0.966765

0.963869