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 Credit Income Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

01/11/2023

1.043431

1.040305

31/10/2023

1.043420

1.040294

30/10/2023

1.043617

1.040491

27/10/2023

1.043158

1.040034

26/10/2023

1.042938

1.039814

25/10/2023

1.044517

1.041389

24/10/2023

1.044240

1.041112

23/10/2023

1.042304

1.039182

20/10/2023

1.042459

1.039337

19/10/2023

1.042425

1.039303

18/10/2023

1.043952

1.040824

17/10/2023

1.044161

1.041033

16/10/2023

1.044510

1.041382

13/10/2023

1.043795

1.040669

12/10/2023

1.045062

1.041932

11/10/2023

1.043941

1.040813

10/10/2023

1.042967

1.039843

09/10/2023

1.042482

1.039360

06/10/2023

1.041270

1.038150

05/10/2023

1.040847

1.037729

04/10/2023

1.039619

1.036505

03/10/2023

1.041183

1.038065

30/09/2023

1.049884

1.046740

29/09/2023

1.049884

1.046740

28/09/2023

1.047343

1.044205

27/09/2023

1.048411

1.045271

26/09/2023

1.048015

1.044875

25/09/2023

1.048527

1.045387

22/09/2023

1.047832

1.044694

21/09/2023

1.047820

1.044682