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

22/09/2017

1.071759

1.069190

21/09/2017

1.073014

1.070442

20/09/2017

1.068476

1.065915

19/09/2017

1.071228

1.068660

18/09/2017

1.071174

1.068606

15/09/2017

1.068832

1.066269

14/09/2017

1.068788

1.066226

13/09/2017

1.067654

1.065094

12/09/2017

1.067101

1.064543

11/09/2017

1.064933

1.062380

08/09/2017

1.060488

1.057946

07/09/2017

1.062385

1.059838

06/09/2017

1.062437

1.059890

05/09/2017

1.061376

1.058832

04/09/2017

1.064162

1.061611

01/09/2017

1.064588

1.062036

31/08/2017

1.065078

1.062525

30/08/2017

1.063393

1.060844

29/08/2017

1.060709

1.058166

28/08/2017

1.064193

1.061642

25/08/2017

1.065596

1.063042

24/08/2017

1.065081

1.062528

23/08/2017

1.066215

1.063659

22/08/2017

1.064331

1.061779

21/08/2017

1.062658

1.060111

18/08/2017

1.064356

1.061805

17/08/2017

1.065068

1.062515

16/08/2017

1.067668

1.065109

15/08/2017

1.067827

1.065267

14/08/2017

1.064946

1.062394