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 Diversified Real Return Fund - Class Z

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/04/2022

1.060260

1.058142

11/04/2022

1.062986

1.060862

08/04/2022

1.062781

1.060657

07/04/2022

1.059390

1.057274

06/04/2022

1.058330

1.056216

05/04/2022

1.057824

1.055710

04/04/2022

1.060806

1.058686

01/04/2022

1.060833

1.058713

31/03/2022

1.062079

1.059957

30/03/2022

1.063329

1.061205

29/03/2022

1.062690

1.060566

28/03/2022

1.061080

1.058960

25/03/2022

1.061733

1.059611

24/03/2022

1.061417

1.059297

23/03/2022

1.060729

1.058609

22/03/2022

1.062881

1.060757

21/03/2022

1.063043

1.060919

18/03/2022

1.062434

1.060312

17/03/2022

1.062599

1.060475

16/03/2022

1.062097

1.059975

15/03/2022

1.057677

1.055563

14/03/2022

1.056491

1.054381

11/03/2022

1.053809

1.051703

10/03/2022

1.054597

1.052489

09/03/2022

1.055095

1.052987

08/03/2022

1.051513

1.049413

07/03/2022

1.049219

1.047123

04/03/2022

1.054263

1.052157

03/03/2022

1.060453

1.058335

02/03/2022

1.063119

1.060995