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

09/03/2018

1.096405

1.093777

08/03/2018

1.094991

1.092366

07/03/2018

1.093188

1.090568

06/03/2018

1.094880

1.092255

05/03/2018

1.094110

1.091487

02/03/2018

1.092855

1.090235

01/03/2018

1.095012

1.092387

28/02/2018

1.095045

1.092420

27/02/2018

1.097727

1.095096

26/02/2018

1.100397

1.097759

23/02/2018

1.098548

1.095914

22/02/2018

1.095250

1.092625

21/02/2018

1.095710

1.093083

20/02/2018

1.092432

1.089813

19/02/2018

1.094434

1.091810

16/02/2018

1.099342

1.096707

15/02/2018

1.098797

1.096163

14/02/2018

1.095426

1.092800

13/02/2018

1.094219

1.091596

12/02/2018

1.095884

1.093257

09/02/2018

1.094828

1.092203

08/02/2018

1.096396

1.093768

07/02/2018

1.100843

1.098204

06/02/2018

1.099948

1.097311

05/02/2018

1.105266

1.102617

02/02/2018

1.112010

1.109344

01/02/2018

1.114415

1.111743

31/01/2018

1.109648

1.106988

30/01/2018

1.110113

1.107451

29/01/2018

1.114390

1.111718