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Unit Prices

Perpetual Diversified Real Return Fund - Class Z

Perpetual Investment Funds

As of Date Entry Price Exit Price

21/03/2019

1.011146

1.008722

20/03/2019

1.010186

1.007765

19/03/2019

1.011151

1.008727

18/03/2019

1.011124

1.008700

15/03/2019

1.010424

1.008002

14/03/2019

1.009110

1.006692

13/03/2019

1.009183

1.006764

12/03/2019

1.007973

1.005557

11/03/2019

1.007711

1.005296

08/03/2019

1.005439

1.003029

07/03/2019

1.006486

1.004073

06/03/2019

1.008615

1.006197

05/03/2019

1.007898

1.005482

04/03/2019

1.006300

1.003888

01/03/2019

1.006147

1.003735

28/02/2019

1.005398

1.002988

27/02/2019

1.005198

1.002789

26/02/2019

1.002594

1.000191

25/02/2019

1.003466

1.001060

22/02/2019

1.003653

1.001247

21/02/2019

1.002925

1.000521

20/02/2019

0.999554

0.997158

19/02/2019

1.000775

0.998376

18/02/2019

0.999484

0.997089

15/02/2019

1.000687

0.998289

14/02/2019

0.997926

0.995534

13/02/2019

0.999195

0.996800

12/02/2019

0.999771

0.997375

11/02/2019

0.997645

0.995253

08/02/2019

0.997648

0.995257