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Unit Prices

Perpetual ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

13/09/2019

1.010667

1.008648

12/09/2019

1.010557

1.008538

11/09/2019

1.010029

1.008011

10/09/2019

1.009824

1.007806

09/09/2019

1.009583

1.007566

06/09/2019

1.009342

1.007326

05/09/2019

1.008952

1.006936

04/09/2019

1.008924

1.006909

03/09/2019

1.008928

1.006912

02/09/2019

1.008792

1.006777

31/08/2019

1.008715

1.006699

30/08/2019

1.008679

1.006664

29/08/2019

1.008565

1.006550

28/08/2019

1.008548

1.006533

27/08/2019

1.008449

1.006434

26/08/2019

1.008330

1.006315

23/08/2019

1.008645

1.006630

22/08/2019

1.008378

1.006363

21/08/2019

1.008048

1.006034

20/08/2019

1.007855

1.005841

19/08/2019

1.007637

1.005624

16/08/2019

1.007397

1.005384

15/08/2019

1.007209

1.005197

14/08/2019

1.007470

1.005457

13/08/2019

1.007333

1.005320

12/08/2019

1.007527

1.005514

09/08/2019

1.007026

1.005014

08/08/2019

1.007054

1.005041

07/08/2019

1.007166

1.005153

06/08/2019

1.007326

1.005313