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 Balanced Growth

Perpetual Investment Funds

As of Date Entry Price Exit Price

14/11/2022

0.843877

0.841773

11/11/2022

0.846718

0.844606

10/11/2022

0.844489

0.842383

09/11/2022

0.844625

0.842519

08/11/2022

0.840452

0.838356

07/11/2022

0.840770

0.838673

04/11/2022

0.837761

0.835672

03/11/2022

0.840591

0.838495

02/11/2022

0.843606

0.841502

01/11/2022

0.845101

0.842994

31/10/2022

0.840916

0.838819

28/10/2022

0.837408

0.835320

27/10/2022

0.833988

0.831908

26/10/2022

0.831303

0.829230

25/10/2022

0.832311

0.830235

24/10/2022

0.831085

0.829012

21/10/2022

0.822803

0.820751

20/10/2022

0.823045

0.820993

19/10/2022

0.828336

0.826270

18/10/2022

0.829344

0.827276

17/10/2022

0.823679

0.821625

14/10/2022

0.825512

0.823453

13/10/2022

0.823018

0.820966

12/10/2022

0.819200

0.817157

11/10/2022

0.819329

0.817286

10/10/2022

0.820958

0.818911

07/10/2022

0.820795

0.818748

06/10/2022

0.824678

0.822621

05/10/2022

0.825926

0.823866

04/10/2022

0.822273

0.820222