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Unit Prices

Perpetual Diversified Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

08/12/2015

1.048287

1.045775

07/12/2015

1.050158

1.047640

04/12/2015

1.047788

1.045276

03/12/2015

1.052153

1.049631

02/12/2015

1.056341

1.053808

01/12/2015

1.056207

1.053676

30/11/2015

1.054580

1.052052

27/11/2015

1.057667

1.055132

26/11/2015

1.057935

1.055399

25/11/2015

1.056133

1.053601

24/11/2015

1.056173

1.053641

23/11/2015

1.059605

1.057065

20/11/2015

1.057570

1.055035

19/11/2015

1.058352

1.055815

18/11/2015

1.057291

1.054756

17/11/2015

1.055434

1.052904

16/11/2015

1.050682

1.048163

13/11/2015

1.051014

1.048495

12/11/2015

1.055145

1.052616

11/11/2015

1.059308

1.056769

10/11/2015

1.058254

1.055717

09/11/2015

1.057175

1.054641

06/11/2015

1.061192

1.058648

05/11/2015

1.057459

1.054924

04/11/2015

1.057565

1.055030

03/11/2015

1.057346

1.054812

02/11/2015

1.056909

1.054376

31/10/2015

1.059361

1.056822

30/10/2015

1.059361

1.056822

29/10/2015

1.062242

1.059696