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

18/07/2016

1.046067

1.043559

15/07/2016

1.044565

1.042061

14/07/2016

1.042630

1.040131

13/07/2016

1.040200

1.037706

12/07/2016

1.038735

1.036245

11/07/2016

1.038657

1.036167

08/07/2016

1.034734

1.032254

07/07/2016

1.033035

1.030559

06/07/2016

1.032623

1.030148

05/07/2016

1.034015

1.031537

04/07/2016

1.034824

1.032343

01/07/2016

1.036571

1.034086

30/06/2016

1.074826

1.072249

29/06/2016

1.069866

1.067302

28/06/2016

1.064952

1.062400

27/06/2016

1.062019

1.059474

24/06/2016

1.064150

1.061600

23/06/2016

1.077910

1.075326

22/06/2016

1.076388

1.073808

21/06/2016

1.077211

1.074628

20/06/2016

1.076512

1.073931

17/06/2016

1.071930

1.069361

16/06/2016

1.072749

1.070177

15/06/2016

1.070375

1.067809

14/06/2016

1.071530

1.068961

10/06/2016

1.077784

1.075200

09/06/2016

1.081409

1.078817

08/06/2016

1.081409

1.078817

07/06/2016

1.080221

1.077631

06/06/2016

1.081406

1.078813