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

10/02/2023

1.000119

0.998121

09/02/2023

0.999282

0.997286

08/02/2023

1.001521

0.999519

07/02/2023

1.001804

0.999802

06/02/2023

1.004654

1.002646

03/02/2023

1.004490

1.002484

02/02/2023

1.002204

1.000202

01/02/2023

1.002776

1.000772

31/01/2023

1.001903

0.999901

30/01/2023

1.000881

0.998881

27/01/2023

1.001675

0.999673

25/01/2023

1.002022

1.000020

24/01/2023

1.002965

1.000961

23/01/2023

1.002203

1.000201

20/01/2023

1.006510

1.004498

19/01/2023

1.009307

1.007291

18/01/2023

1.004261

1.002255

17/01/2023

1.005801

1.003791

16/01/2023

1.007169

1.005157

13/01/2023

1.006892

1.004880

12/01/2023

1.005937

1.003927

11/01/2023

1.003750

1.001744

10/01/2023

1.002786

1.000782

09/01/2023

1.000846

0.998846

06/01/2023

1.002095

1.000093

05/01/2023

1.001139

0.999139

04/01/2023

0.998069

0.996075

03/01/2023

0.999160

0.997164

31/12/2022

1.001828

0.999826

30/12/2022

1.001828

0.999826