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

15/11/2022

0.996889

0.994897

14/11/2022

0.997262

0.995270

11/11/2022

0.999412

0.997416

10/11/2022

1.000421

0.998423

09/11/2022

1.001219

0.999219

08/11/2022

0.997986

0.995992

07/11/2022

0.998523

0.996527

04/11/2022

0.998057

0.996063

03/11/2022

1.000550

0.998550

02/11/2022

0.999759

0.997761

01/11/2022

1.001088

0.999088

31/10/2022

0.998427

0.996433

28/10/2022

0.997497

0.995504

27/10/2022

0.995037

0.993049

26/10/2022

0.993390

0.991406

25/10/2022

0.994911

0.992923

24/10/2022

0.995480

0.993492

21/10/2022

0.992772

0.990788

20/10/2022

0.991823

0.989841

19/10/2022

0.994794

0.992806

18/10/2022

0.995929

0.993939

17/10/2022

0.994140

0.992154

14/10/2022

0.995352

0.993364

13/10/2022

0.995386

0.993398

12/10/2022

0.993956

0.991970

11/10/2022

0.993863

0.991877

10/10/2022

0.994881

0.992893

07/10/2022

0.992644

0.990660

06/10/2022

0.993933

0.991947

05/10/2022

0.994134

0.992148