What can we help you find?
Search by Topic

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

12/12/2023

1.009018

1.007002

11/12/2023

1.008728

1.006712

08/12/2023

1.008897

1.006881

07/12/2023

1.009780

1.007762

06/12/2023

1.009057

1.007041

05/12/2023

1.008418

1.006404

04/12/2023

1.007981

1.005967

01/12/2023

1.008823

1.006807

30/11/2023

1.005848

1.003838

29/11/2023

1.005864

1.003854

28/11/2023

1.005256

1.003248

27/11/2023

1.004715

1.002707

24/11/2023

1.005802

1.003792

23/11/2023

1.006161

1.004151

22/11/2023

1.007345

1.005333

21/11/2023

1.007295

1.005283

20/11/2023

1.007993

1.005979

17/11/2023

1.009168

1.007152

16/11/2023

1.009396

1.007380

15/11/2023

1.008036

1.006022

14/11/2023

1.008414

1.006400

13/11/2023

1.008062

1.006048

10/11/2023

1.008871

1.006855

09/11/2023

1.006815

1.004803

08/11/2023

1.008171

1.006157

07/11/2023

1.008087

1.006073

06/11/2023

1.006328

1.004318

03/11/2023

1.007184

1.005172

02/11/2023

1.007276

1.005264

01/11/2023

1.006981

1.004969