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

24/03/2023

0.978364

0.975434

23/03/2023

0.979580

0.976646

22/03/2023

0.979536

0.976602

21/03/2023

0.980014

0.977078

20/03/2023

0.976801

0.973875

17/03/2023

0.977426

0.974498

16/03/2023

0.979107

0.976175

15/03/2023

0.977813

0.974883

14/03/2023

0.980120

0.977184

13/03/2023

0.979220

0.976286

10/03/2023

0.980223

0.977287

09/03/2023

0.981555

0.978615

08/03/2023

0.981743

0.978803

07/03/2023

0.981887

0.978945

06/03/2023

0.982107

0.979165

03/03/2023

0.981434

0.978494

02/03/2023

0.982102

0.979160

01/03/2023

0.982087

0.979145

28/02/2023

0.981211

0.978271

27/02/2023

0.980649

0.977711

24/02/2023

0.980961

0.978023

23/02/2023

0.980366

0.977430

22/02/2023

0.980418

0.977482

21/02/2023

0.981216

0.978276

20/02/2023

0.980872

0.977934

17/02/2023

0.979856

0.976920

16/02/2023

0.980364

0.977428

15/02/2023

0.980289

0.977353

14/02/2023

0.980667

0.977729

13/02/2023

0.979621

0.976687