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Unit Prices

Perpetual Diversified Real Return Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

17/02/2023

0.933859

0.931993

16/02/2023

0.933582

0.931716

15/02/2023

0.932078

0.930216

14/02/2023

0.930726

0.928866

13/02/2023

0.931062

0.929202

10/02/2023

0.933180

0.931316

09/02/2023

0.932409

0.930547

08/02/2023

0.934508

0.932640

07/02/2023

0.934781

0.932913

06/02/2023

0.937450

0.935576

03/02/2023

0.937323

0.935451

02/02/2023

0.935201

0.933333

01/02/2023

0.935743

0.933873

31/01/2023

0.934937

0.933069

30/01/2023

0.933993

0.932127

27/01/2023

0.934759

0.932891

25/01/2023

0.935100

0.933232

24/01/2023

0.935989

0.934119

23/01/2023

0.935287

0.933419

20/01/2023

0.939332

0.937456

19/01/2023

0.941952

0.940070

18/01/2023

0.937251

0.935379

17/01/2023

0.938698

0.936822

16/01/2023

0.939984

0.938106

13/01/2023

0.939750

0.937872

12/01/2023

0.938869

0.936993

11/01/2023

0.936837

0.934965

10/01/2023

0.935945

0.934075

09/01/2023

0.934143

0.932277

06/01/2023

0.935358

0.933490