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

03/04/2017

1.085050

1.082449

31/03/2017

1.084119

1.081520

30/03/2017

1.084694

1.082094

29/03/2017

1.084100

1.081501

28/03/2017

1.084463

1.081863

27/03/2017

1.081607

1.079014

24/03/2017

1.081611

1.079018

23/03/2017

1.078794

1.076208

22/03/2017

1.076115

1.073535

21/03/2017

1.076762

1.074181

20/03/2017

1.077503

1.074921

17/03/2017

1.079412

1.076825

16/03/2017

1.078984

1.076398

15/03/2017

1.079948

1.077359

14/03/2017

1.077744

1.075161

13/03/2017

1.078407

1.075822

10/03/2017

1.079201

1.076614

09/03/2017

1.076972

1.074391

08/03/2017

1.075667

1.073088

07/03/2017

1.075560

1.072982

06/03/2017

1.075145

1.072567

03/03/2017

1.075468

1.072890

02/03/2017

1.075709

1.073130

01/03/2017

1.072214

1.069643

28/02/2017

1.069359

1.066796

27/02/2017

1.070883

1.068316

24/02/2017

1.072278

1.069708

23/02/2017

1.072845

1.070274

22/02/2017

1.074033

1.071459

21/02/2017

1.073452

1.070878