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Unit Prices

Perpetual ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

14/04/2022

1.008617

1.006601

13/04/2022

1.006895

1.004883

12/04/2022

1.007053

1.005041

11/04/2022

1.008309

1.006295

08/04/2022

1.008646

1.006630

07/04/2022

1.008811

1.006795

06/04/2022

1.008753

1.006737

05/04/2022

1.009883

1.007865

04/04/2022

1.008835

1.006819

01/04/2022

1.008966

1.006950

31/03/2022

1.008709

1.006693

30/03/2022

1.008525

1.006509

29/03/2022

1.008955

1.006939

28/03/2022

1.008975

1.006959

25/03/2022

1.010164

1.008146

24/03/2022

1.009179

1.006155

23/03/2022

1.007634

1.004614

22/03/2022

1.009082

1.006058

21/03/2022

1.009518

1.006492

18/03/2022

1.007511

1.004491

17/03/2022

1.007786

1.004765

16/03/2022

1.007174

1.004156

15/03/2022

1.005389

1.002376

14/03/2022

1.006523

1.003506

11/03/2022

1.006156

1.003141

10/03/2022

1.006820

1.003802

09/03/2022

1.006801

1.003783

08/03/2022

1.005889

1.002874

07/03/2022

1.006247

1.003232

04/03/2022

1.008681

1.005658