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

02/06/2020

1.101019

1.098269

01/06/2020

1.100954

1.098204

31/05/2020

1.103282

1.100526

29/05/2020

1.103282

1.100526

28/05/2020

1.101106

1.097916

27/05/2020

1.102482

1.099288

26/05/2020

1.097443

1.094263

25/05/2020

1.097379

1.094200

22/05/2020

1.095008

1.091836

21/05/2020

1.096243

1.093067

20/05/2020

1.096720

1.093543

19/05/2020

1.094027

1.090858

18/05/2020

1.096675

1.093497

15/05/2020

1.093750

1.090581

14/05/2020

1.091463

1.088301

13/05/2020

1.088927

1.085772

12/05/2020

1.091164

1.088002

11/05/2020

1.094389

1.091218

08/05/2020

1.093346

1.090178

07/05/2020

1.092900

1.089515

06/05/2020

1.090223

1.086847

05/05/2020

1.092886

1.089501

04/05/2020

1.091956

1.088574

01/05/2020

1.092012

1.088630

30/04/2020

1.094365

1.090976

29/04/2020

1.095562

1.092169

28/04/2020

1.090260

1.086884

27/04/2020

1.088817

1.085445

24/04/2020

1.088538

1.085167

23/04/2020

1.087638

1.083401