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Unit Prices

Perpetual Diversified Real Return Fund - Class Z

Perpetual Investment Funds

As of Date Entry Price Exit Price

28/02/2020

1.015458

1.013024

27/02/2020

1.012585

1.010158

26/02/2020

1.021013

1.018565

25/02/2020

1.020248

1.017802

24/02/2020

1.023623

1.021169

21/02/2020

1.029542

1.027074

20/02/2020

1.030125

1.027656

19/02/2020

1.027289

1.024827

18/02/2020

1.025558

1.023099

17/02/2020

1.025212

1.022755

14/02/2020

1.025401

1.022943

13/02/2020

1.025126

1.022669

12/02/2020

1.025769

1.023310

11/02/2020

1.025021

1.022564

10/02/2020

1.025135

1.022677

07/02/2020

1.026025

1.023565

06/02/2020

1.025827

1.023368

05/02/2020

1.024581

1.022125

04/02/2020

1.023354

1.020901

03/02/2020

1.022645

1.020193

31/01/2020

1.023525

1.021071

30/01/2020

1.024254

1.021799

29/01/2020

1.023219

1.020766

28/01/2020

1.022312

1.019861

24/01/2020

1.022680

1.020228

23/01/2020

1.023246

1.020794

22/01/2020

1.024474

1.022019

21/01/2020

1.023468

1.021014

20/01/2020

1.024636

1.022180

17/01/2020

1.025198

1.022741