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 Concentrated Equity Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

16/11/2023

0.993891

0.991509

15/11/2023

0.997696

0.995304

14/11/2023

0.988785

0.986415

13/11/2023

0.979774

0.977426

10/11/2023

0.982878

0.980522

09/11/2023

0.986282

0.983918

08/11/2023

0.982277

0.979923

07/11/2023

0.978673

0.976327

06/11/2023

0.980375

0.978025

03/11/2023

0.979674

0.977326

02/11/2023

0.971164

0.968836

01/11/2023

0.965357

0.963043

31/10/2023

0.958749

0.956451

30/10/2023

0.957047

0.954753

27/10/2023

0.966659

0.964341

26/10/2023

0.967960

0.965640

25/10/2023

0.973867

0.971533

24/10/2023

0.976270

0.973930

23/10/2023

0.977472

0.975128

20/10/2023

0.985181

0.982819

19/10/2023

0.993991

0.991609

18/10/2023

1.005205

1.002795

17/10/2023

1.004604

1.002196

16/10/2023

1.001200

0.998800

13/10/2023

1.002802

1.000398

12/10/2023

1.007307

1.004893

11/10/2023

1.004804

1.002396

10/10/2023

0.998997

0.996603

09/10/2023

0.987984

0.985616

06/10/2023

0.986382

0.984018