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

31/01/2018

1.109648

1.106988

30/01/2018

1.110113

1.107451

29/01/2018

1.114390

1.111718

25/01/2018

1.113874

1.111204

24/01/2018

1.115542

1.112868

23/01/2018

1.117579

1.114900

22/01/2018

1.114824

1.112152

19/01/2018

1.113386

1.110717

18/01/2018

1.112838

1.110171

17/01/2018

1.113185

1.110516

16/01/2018

1.112572

1.109905

15/01/2018

1.112727

1.110060

12/01/2018

1.113765

1.111095

11/01/2018

1.113545

1.110876

10/01/2018

1.114076

1.111406

09/01/2018

1.115725

1.113050

08/01/2018

1.114808

1.112136

05/01/2018

1.113279

1.110610

04/01/2018

1.110656

1.107994

03/01/2018

1.107659

1.105004

02/01/2018

1.106250

1.103598

31/12/2017

1.105061

1.102412

29/12/2017

1.105061

1.102412

28/12/2017

1.105927

1.103276

27/12/2017

1.105735

1.103085

22/12/2017

1.107543

1.104888

21/12/2017

1.107165

1.104511

20/12/2017

1.106672

1.104019

19/12/2017

1.106964

1.104311

18/12/2017

1.106432

1.103780