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

19/06/2017

0.982082

0.980120

16/06/2017

0.982703

0.980740

15/06/2017

0.981493

0.979532

14/06/2017

0.982630

0.980667

13/06/2017

0.981068

0.979108

09/06/2017

0.981150

0.979189

08/06/2017

0.981290

0.979329

07/06/2017

0.981327

0.979367

06/06/2017

0.981636

0.979674

05/06/2017

0.981328

0.979367

02/06/2017

0.981426

0.979465

01/06/2017

0.980278

0.978319

31/05/2017

0.980254

0.978296

30/05/2017

0.980472

0.978513

29/05/2017

0.980277

0.978319

26/05/2017

0.979925

0.977967

25/05/2017

0.979472

0.977515

24/05/2017

0.979534

0.977577

23/05/2017

0.978920

0.976964

22/05/2017

0.979059

0.977103

19/05/2017

0.978131

0.976177

18/05/2017

0.977766

0.975812

17/05/2017

0.978568

0.976613

16/05/2017

0.978066

0.976111

15/05/2017

0.977935

0.975981

12/05/2017

0.978209

0.976254

11/05/2017

0.977665

0.975711

10/05/2017

0.977446

0.975493

09/05/2017

0.976985

0.975033

08/05/2017

0.977456

0.975503