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 Pure Value Share Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

09/02/2017

1.557325

1.552660

08/02/2017

1.557661

1.552995

07/02/2017

1.553638

1.548984

06/02/2017

1.551774

1.547126

03/02/2017

1.550191

1.545548

02/02/2017

1.557847

1.553180

01/02/2017

1.561520

1.556842

31/01/2017

1.556632

1.551969

30/01/2017

1.564261

1.559575

27/01/2017

1.572148

1.567439

25/01/2017

1.560725

1.556050

24/01/2017

1.556567

1.551904

23/01/2017

1.547221

1.542587

20/01/2017

1.555652

1.550992

19/01/2017

1.566787

1.562093

18/01/2017

1.558138

1.553470

17/01/2017

1.557143

1.552478

16/01/2017

1.568790

1.564091

13/01/2017

1.561002

1.556326

12/01/2017

1.570468

1.565764

11/01/2017

1.560441

1.555767

10/01/2017

1.558004

1.553337

09/01/2017

1.573912

1.569197

06/01/2017

1.564058

1.559372

05/01/2017

1.569825

1.565123

04/01/2017

1.575581

1.570861

03/01/2017

1.575718

1.570998

31/12/2016

1.581208

1.576471

30/12/2016

1.581208

1.576471

29/12/2016

1.582612

1.577871