What can we help you find?
Search by Topic

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

09/08/2023

1.105739

1.103529

08/08/2023

1.107100

1.104888

04/08/2023

1.105713

1.103503

03/08/2023

1.106293

1.104083

02/08/2023

1.106570

1.104360

01/08/2023

1.105498

1.103290

31/07/2023

1.101552

1.099352

28/07/2023

1.102716

1.100512

27/07/2023

1.100180

1.097982

26/07/2023

1.099486

1.097290

25/07/2023

1.097280

1.095088

24/07/2023

1.098227

1.096033

21/07/2023

1.098375

1.096181

20/07/2023

1.096580

1.094390

19/07/2023

1.098901

1.096705

18/07/2023

1.095022

1.092834

17/07/2023

1.093728

1.091542

14/07/2023

1.093070

1.090886

13/07/2023

1.091984

1.089802

12/07/2023

1.092811

1.090627

11/07/2023

1.094900

1.092712

10/07/2023

1.092672

1.090488

07/07/2023

1.090935

1.088755

06/07/2023

1.093402

1.091218

05/07/2023

1.093602

1.091416

04/07/2023

1.093178

1.090994

03/07/2023

1.093260

1.091076

01/07/2023

1.093260

1.091076

30/06/2023

1.102331

1.100129

29/06/2023

1.102791

1.100587