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

06/05/2019

1.017306

1.014868

03/05/2019

1.018861

1.016419

02/05/2019

1.016586

1.014149

01/05/2019

1.015769

1.013334

30/04/2019

1.016034

1.013599

29/04/2019

1.015689

1.013254

26/04/2019

1.016078

1.013642

24/04/2019

1.015699

1.013264

23/04/2019

1.013684

1.011254

18/04/2019

1.009830

1.007410

17/04/2019

1.008713

1.006295

16/04/2019

1.007447

1.005032

15/04/2019

1.006572

1.004159

12/04/2019

1.007554

1.005139

11/04/2019

1.005812

1.003401

10/04/2019

1.006631

1.004218

09/04/2019

1.006593

1.004180

08/04/2019

1.006913

1.004500

05/04/2019

1.006939

1.004525

04/04/2019

1.006151

1.003739

03/04/2019

1.005941

1.003529

02/04/2019

1.006287

1.003874

01/04/2019

1.004987

1.002578

31/03/2019

1.009840

1.007420

29/03/2019

1.009840

1.007420

28/03/2019

1.009339

1.006920

27/03/2019

1.008752

1.006333

26/03/2019

1.007808

1.005392

25/03/2019

1.007663

1.005247

22/03/2019

1.007715

1.005299