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

02/03/2018

0.985864

0.983894

01/03/2018

0.986682

0.984711

28/02/2018

0.986620

0.984649

27/02/2018

0.986096

0.984125

26/02/2018

0.985710

0.983741

23/02/2018

0.985499

0.983530

22/02/2018

0.985816

0.983846

21/02/2018

0.985869

0.983899

20/02/2018

0.985944

0.983974

19/02/2018

0.985861

0.983891

16/02/2018

0.985853

0.983883

15/02/2018

0.984799

0.982832

14/02/2018

0.983648

0.981683

13/02/2018

0.983682

0.981716

12/02/2018

0.984254

0.982287

09/02/2018

0.983960

0.981994

08/02/2018

0.984530

0.982563

07/02/2018

0.985377

0.983409

06/02/2018

0.984218

0.982252

05/02/2018

0.985092

0.983123

02/02/2018

0.985060

0.983092

01/02/2018

0.985251

0.983282

31/01/2018

0.985333

0.983364

30/01/2018

0.985064

0.983096

29/01/2018

0.985330

0.983361

25/01/2018

0.984813

0.982845

24/01/2018

0.984581

0.982614

23/01/2018

0.984761

0.982794

22/01/2018

0.984400

0.982433

19/01/2018

0.983635

0.981670