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

27/12/2018

0.966119

0.964189

24/12/2018

0.966569

0.964638

21/12/2018

0.966584

0.964653

20/12/2018

0.966764

0.964832

19/12/2018

0.967315

0.965382

18/12/2018

0.967578

0.965645

17/12/2018

0.968026

0.966092

14/12/2018

0.967875

0.965941

13/12/2018

0.967984

0.966050

12/12/2018

0.967119

0.965186

11/12/2018

0.966817

0.964885

10/12/2018

0.967619

0.965686

07/12/2018

0.968195

0.966260

06/12/2018

0.968209

0.966274

05/12/2018

0.968863

0.966928

04/12/2018

0.969964

0.968026

03/12/2018

0.970159

0.968221

30/11/2018

0.969937

0.967999

29/11/2018

0.970432

0.968493

28/11/2018

0.970695

0.968755

27/11/2018

0.970979

0.969039

26/11/2018

0.970935

0.968995

23/11/2018

0.970693

0.968753

22/11/2018

0.970798

0.968858

21/11/2018

0.970557

0.968618

20/11/2018

0.970449

0.968510

19/11/2018

0.971457

0.969516

16/11/2018

0.971703

0.969762

15/11/2018

0.972586

0.970643

14/11/2018

0.972859

0.970915