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 Fixed Income Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

22/08/2022

0.978878

0.976922

19/08/2022

0.979078

0.977122

18/08/2022

0.979178

0.977222

17/08/2022

0.979879

0.977921

16/08/2022

0.979779

0.977821

15/08/2022

0.978177

0.976223

12/08/2022

0.977877

0.975923

11/08/2022

0.979078

0.977122

10/08/2022

0.977777

0.975823

09/08/2022

0.977777

0.975823

08/08/2022

0.976976

0.975024

05/08/2022

0.977477

0.975524

04/08/2022

0.975675

0.973725

03/08/2022

0.975975

0.974025

02/08/2022

0.976876

0.974924

31/07/2022

0.975374

0.973426

29/07/2022

0.975374

0.973426

28/07/2022

0.974173

0.972227

27/07/2022

0.973473

0.971528

26/07/2022

0.972872

0.970928

25/07/2022

0.972572

0.970628

22/07/2022

0.970970

0.969030

21/07/2022

0.971070

0.969130

20/07/2022

0.971971

0.970029

19/07/2022

0.971370

0.969430

18/07/2022

0.970570

0.968630

15/07/2022

0.970069

0.968131

14/07/2022

0.969469

0.967532

13/07/2022

0.970169

0.968231

12/07/2022

0.970670

0.968730