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

15/12/2017

1.100840

1.098201

14/12/2017

1.100989

1.098350

13/12/2017

1.104794

1.102146

12/12/2017

1.107002

1.104349

11/12/2017

1.106312

1.103660

08/12/2017

1.105163

1.102514

07/12/2017

1.100391

1.097753

06/12/2017

1.097127

1.094497

05/12/2017

1.097997

1.095365

04/12/2017

1.100257

1.097619

01/12/2017

1.098711

1.096078

30/11/2017

1.099794

1.097158

29/11/2017

1.100975

1.098336

28/11/2017

1.098713

1.096079

27/11/2017

1.095634

1.093007

24/11/2017

1.097527

1.094896

23/11/2017

1.097563

1.094932

22/11/2017

1.099015

1.096381

21/11/2017

1.096964

1.094335

20/11/2017

1.095350

1.092724

17/11/2017

1.096554

1.093926

16/11/2017

1.093947

1.091325

15/11/2017

1.090038

1.087425

14/11/2017

1.090420

1.087806

13/11/2017

1.090225

1.087612

10/11/2017

1.089495

1.086884

09/11/2017

1.090345

1.087732

08/11/2017

1.091300

1.088684

07/11/2017

1.091806

1.089189

06/11/2017

1.091244

1.088628