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

18/01/2022

0.969521

0.967583

17/01/2022

0.969774

0.967836

14/01/2022

0.969814

0.967876

13/01/2022

0.969489

0.967551

12/01/2022

0.969675

0.967737

11/01/2022

0.969498

0.967560

10/01/2022

0.969572

0.967634

07/01/2022

0.969825

0.967887

06/01/2022

0.969589

0.967651

05/01/2022

0.969829

0.967891

04/01/2022

0.969430

0.967494

31/12/2021

0.971196

0.969256

30/12/2021

0.970889

0.968949

29/12/2021

0.971430

0.969490

24/12/2021

0.970481

0.968541

23/12/2021

0.971094

0.969154

22/12/2021

0.970860

0.968920

21/12/2021

0.970457

0.968519

20/12/2021

0.970370

0.968432

17/12/2021

0.969871

0.967933

16/12/2021

0.969950

0.968012

15/12/2021

0.970178

0.968240

14/12/2021

0.970035

0.968097

13/12/2021

0.969621

0.967683

10/12/2021

0.969954

0.968016

09/12/2021

0.970216

0.968278

08/12/2021

0.970845

0.968905

07/12/2021

0.970793

0.968853

06/12/2021

0.970003

0.968065

03/12/2021

0.969363

0.967427