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 Diversified Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

22/02/2019

1.094162

1.091539

21/02/2019

1.093309

1.090688

20/02/2019

1.089257

1.086646

19/02/2019

1.090760

1.088146

18/02/2019

1.089227

1.086616

15/02/2019

1.090738

1.088123

14/02/2019

1.087424

1.084817

13/02/2019

1.088986

1.086376

12/02/2019

1.089710

1.087098

11/02/2019

1.087164

1.084558

08/02/2019

1.087266

1.084659

07/02/2019

1.086201

1.083597

06/02/2019

1.088080

1.085472

05/02/2019

1.084508

1.081908

04/02/2019

1.081651

1.079058

01/02/2019

1.079717

1.077128

31/01/2019

1.079060

1.076474

30/01/2019

1.079127

1.076540

29/01/2019

1.078167

1.075583

25/01/2019

1.080534

1.077944

24/01/2019

1.078378

1.075793

23/01/2019

1.076419

1.073839

22/01/2019

1.075818

1.073239

21/01/2019

1.078833

1.076247

18/01/2019

1.077158

1.074575

17/01/2019

1.074724

1.072148

16/01/2019

1.073349

1.070776

15/01/2019

1.070318

1.067753

14/01/2019

1.069530

1.066966

11/01/2019

1.070374

1.067809