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

08/09/2021

1.061844

1.059511

07/09/2021

1.063105

1.060769

06/09/2021

1.062682

1.060346

03/09/2021

1.061173

1.058841

02/09/2021

1.061379

1.059046

01/09/2021

1.062154

1.059820

31/08/2021

1.062243

1.059908

30/08/2021

1.061239

1.058907

27/08/2021

1.060517

1.058186

26/08/2021

1.060725

1.058394

25/08/2021

1.061177

1.058845

24/08/2021

1.060162

1.057832

23/08/2021

1.060441

1.058111

20/08/2021

1.060980

1.058648

19/08/2021

1.059378

1.057050

18/08/2021

1.060008

1.057679

17/08/2021

1.059007

1.056680

16/08/2021

1.058210

1.055884

13/08/2021

1.058371

1.056045

12/08/2021

1.058338

1.056012

11/08/2021

1.056047

1.053726

10/08/2021

1.055016

1.052698

09/08/2021

1.053995

1.051679

06/08/2021

1.052731

1.050418

05/08/2021

1.050152

1.047845

04/08/2021

1.050824

1.048514

03/08/2021

1.051520

1.049209

31/07/2021

1.050538

1.048230

30/07/2021

1.050538

1.048230

29/07/2021

1.050445

1.048136