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

07/02/2019

0.996746

0.994357

06/02/2019

0.998278

0.995885

05/02/2019

0.995305

0.992919

04/02/2019

0.992922

0.990542

01/02/2019

0.991278

0.988901

31/01/2019

0.990714

0.988339

30/01/2019

0.990746

0.988371

29/01/2019

0.989931

0.987559

25/01/2019

0.991829

0.989451

24/01/2019

0.990025

0.987652

23/01/2019

0.988385

0.986016

22/01/2019

0.987867

0.985499

21/01/2019

0.990336

0.987962

18/01/2019

0.988905

0.986535

17/01/2019

0.986873

0.984508

16/01/2019

0.985687

0.983324

15/01/2019

0.982892

0.980536

14/01/2019

0.982154

0.979800

11/01/2019

0.982892

0.980536

10/01/2019

0.984029

0.981670

09/01/2019

0.982673

0.980317

08/01/2019

0.981335

0.978983

07/01/2019

0.980038

0.977689

04/01/2019

0.979073

0.976726

03/01/2019

0.978715

0.976369

02/01/2019

0.976311

0.973970

31/12/2018

0.976634

0.974293

28/12/2018

0.974600

0.972263

27/12/2018

0.971753

0.969423

24/12/2018

0.968216

0.965895