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 ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

21/06/2021

1.021421

1.019380

18/06/2021

1.021594

1.019553

17/06/2021

1.021842

1.019800

16/06/2021

1.021409

1.019369

15/06/2021

1.033567

1.031502

11/06/2021

1.033552

1.031487

10/06/2021

1.033587

1.031522

09/06/2021

1.033404

1.031339

08/06/2021

1.033544

1.031479

07/06/2021

1.033360

1.031295

04/06/2021

1.033332

1.031267

03/06/2021

1.033274

1.031210

02/06/2021

1.033401

1.031336

01/06/2021

1.033136

1.031072

31/05/2021

1.032864

1.030801

28/05/2021

1.032858

1.030795

27/05/2021

1.032373

1.030310

26/05/2021

1.032180

1.030118

25/05/2021

1.032291

1.030228

24/05/2021

1.032095

1.030033

21/05/2021

1.031902

1.029840

20/05/2021

1.032031

1.029969

19/05/2021

1.031634

1.029573

18/05/2021

1.031758

1.029696

17/05/2021

1.031423

1.029362

14/05/2021

1.031211

1.029151

13/05/2021

1.031027

1.028967

12/05/2021

1.031051

1.028991

11/05/2021

1.031116

1.029056

10/05/2021

1.031163

1.029102