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 Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

16/05/2023

1.109095

1.106879

15/05/2023

1.110397

1.108179

12/05/2023

1.111107

1.108887

11/05/2023

1.109911

1.107693

10/05/2023

1.109198

1.106982

09/05/2023

1.109296

1.107080

08/05/2023

1.108563

1.106349

05/05/2023

1.110084

1.107866

04/05/2023

1.112266

1.110044

03/05/2023

1.109965

1.107747

02/05/2023

1.109970

1.107752

01/05/2023

1.110956

1.108736

30/04/2023

1.113000

1.110776

28/04/2023

1.113000

1.110776

27/04/2023

1.111702

1.109480

26/04/2023

1.111900

1.109678

24/04/2023

1.108471

1.106257

21/04/2023

1.108059

1.105845

20/04/2023

1.105820

1.103610

19/04/2023

1.107241

1.105029

18/04/2023

1.108560

1.106346

17/04/2023

1.109963

1.107745

14/04/2023

1.108882

1.106666

13/04/2023

1.108718

1.106502

12/04/2023

1.109930

1.107712

11/04/2023

1.110298

1.108080

06/04/2023

1.108236

1.106022

05/04/2023

1.106013

1.103803

04/04/2023

1.104586

1.102380

03/04/2023

1.101005

1.098805