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Unit Prices

Perpetual ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

23/08/2022

1.000362

0.998364

22/08/2022

1.000920

0.998920

19/08/2022

1.001494

0.999494

18/08/2022

1.001453

0.999453

17/08/2022

1.002134

1.000132

16/08/2022

1.001865

0.999863

15/08/2022

1.000390

0.998392

12/08/2022

0.999985

0.997987

11/08/2022

1.000819

0.998819

10/08/2022

0.999792

0.997794

09/08/2022

0.999828

0.997830

08/08/2022

0.999351

0.997355

05/08/2022

1.000023

0.998025

04/08/2022

0.998375

0.996381

03/08/2022

0.998736

0.996740

02/08/2022

0.998870

0.996874

31/07/2022

0.997485

0.995493

29/07/2022

0.997485

0.995493

28/07/2022

0.996754

0.994762

27/07/2022

0.995440

0.993452

26/07/2022

0.994670

0.992682

25/07/2022

0.994737

0.992749

22/07/2022

0.993074

0.991090

21/07/2022

0.994544

0.992556

20/07/2022

0.994683

0.992695

19/07/2022

0.994148

0.992162

18/07/2022

0.992880

0.990896

15/07/2022

0.992423

0.990441

14/07/2022

0.991961

0.989979

13/07/2022

0.992422

0.990440