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

27/09/2018

0.993160

0.990779

26/09/2018

0.991804

0.989427

25/09/2018

0.991961

0.989583

24/09/2018

0.991521

0.989144

21/09/2018

0.992313

0.989934

20/09/2018

0.992564

0.990185

19/09/2018

0.991591

0.989214

18/09/2018

0.992387

0.990008

17/09/2018

0.992815

0.990436

14/09/2018

0.992959

0.990578

13/09/2018

0.993047

0.990667

12/09/2018

0.993857

0.991475

11/09/2018

0.993646

0.991264

10/09/2018

0.992167

0.989789

07/09/2018

0.993698

0.991316

06/09/2018

0.993415

0.991033

05/09/2018

0.994179

0.991796

04/09/2018

0.995314

0.992928

03/09/2018

0.996134

0.993746

31/08/2018

0.995426

0.993040

30/08/2018

0.993858

0.991476

29/08/2018

0.995931

0.993544

28/08/2018

0.993548

0.991166

27/08/2018

0.993923

0.991540

24/08/2018

0.992103

0.989725

23/08/2018

0.990976

0.988600

22/08/2018

0.988197

0.985829

21/08/2018

0.988617

0.986247

20/08/2018

0.989593

0.987220

17/08/2018

0.989449

0.987078