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 S

Perpetual Investment Funds

As of Date Entry Price Exit Price

05/01/2023

0.934473

0.932605

04/01/2023

0.931616

0.929754

03/01/2023

0.932641

0.930777

31/12/2022

0.933819

0.931953

30/12/2022

0.933819

0.931953

29/12/2022

0.934424

0.932558

28/12/2022

0.933135

0.931271

23/12/2022

0.937346

0.935474

22/12/2022

0.937846

0.935972

21/12/2022

0.938370

0.936496

20/12/2022

0.936709

0.934837

19/12/2022

0.934631

0.932763

16/12/2022

0.936878

0.935006

15/12/2022

0.935626

0.933756

14/12/2022

0.934393

0.932527

13/12/2022

0.933342

0.931478

12/12/2022

0.935215

0.933347

09/12/2022

0.934532

0.932664

08/12/2022

0.935135

0.933267

07/12/2022

0.935802

0.933932

06/12/2022

0.936372

0.934502

05/12/2022

0.935365

0.933497

02/12/2022

0.936922

0.935050

01/12/2022

0.936812

0.934940

30/11/2022

0.937772

0.935898

29/11/2022

0.934797

0.932929

28/11/2022

0.936151

0.934281

25/11/2022

0.935426

0.933558

24/11/2022

0.933332

0.931468

23/11/2022

0.933390

0.931526