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

11/08/2017

1.062223

1.059676

10/08/2017

1.063610

1.061061

09/08/2017

1.068549

1.065988

08/08/2017

1.070056

1.067490

04/08/2017

1.068073

1.065513

03/08/2017

1.067119

1.064561

02/08/2017

1.066370

1.063814

01/08/2017

1.065479

1.062925

31/07/2017

1.064326

1.061775

28/07/2017

1.063673

1.061124

27/07/2017

1.065089

1.062536

26/07/2017

1.066997

1.064439

25/07/2017

1.064282

1.061731

24/07/2017

1.063462

1.060913

21/07/2017

1.064653

1.062101

20/07/2017

1.064662

1.062110

19/07/2017

1.064533

1.061981

18/07/2017

1.063731

1.061181

17/07/2017

1.069020

1.066458

14/07/2017

1.070167

1.067602

13/07/2017

1.070057

1.067492

12/07/2017

1.070341

1.067775

11/07/2017

1.070026

1.067461

10/07/2017

1.070038

1.067473

07/07/2017

1.068275

1.065714

06/07/2017

1.069311

1.066747

05/07/2017

1.070218

1.067653

04/07/2017

1.069980

1.067415

03/07/2017

1.067339

1.064780

30/06/2017

1.097678

1.095046