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Unit Prices

Perpetual Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

08/09/2015

0.966960

0.965028

07/09/2015

0.966219

0.964288

04/09/2015

0.965935

0.964005

03/09/2015

0.965909

0.963979

02/09/2015

0.966236

0.964306

01/09/2015

0.966490

0.964559

31/08/2015

0.967290

0.965357

28/08/2015

0.966854

0.964922

27/08/2015

0.966679

0.964748

26/08/2015

0.965775

0.963846

25/08/2015

0.965431

0.963502

24/08/2015

0.964977

0.963049

21/08/2015

0.966569

0.964638

20/08/2015

0.966932

0.965000

19/08/2015

0.967856

0.965922

18/08/2015

0.967775

0.965841

17/08/2015

0.967851

0.965917

14/08/2015

0.967910

0.965976

13/08/2015

0.968116

0.966182

12/08/2015

0.967278

0.965345

11/08/2015

0.967586

0.965653

10/08/2015

0.967746

0.965813

07/08/2015

0.967867

0.965933

06/08/2015

0.967682

0.965748

05/08/2015

0.967900

0.965966

04/08/2015

0.967240

0.965307

31/07/2015

0.967367

0.965434

30/07/2015

0.967444

0.965511

29/07/2015

0.967467

0.965534

28/07/2015

0.966995

0.965063