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 Concentrated Equity Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

05/07/2022

0.886801

0.884675

04/07/2022

0.888611

0.886481

01/07/2022

0.878825

0.876719

30/06/2022

0.999498

0.997102

29/06/2022

1.014916

1.012484

28/06/2022

1.021524

1.019076

27/06/2022

1.018120

1.015680

24/06/2022

1.003503

1.001097

23/06/2022

1.000199

0.997801

22/06/2022

0.997596

0.995204

21/06/2022

0.999999

0.997601

20/06/2022

0.986382

0.984018

17/06/2022

0.989886

0.987514

16/06/2022

1.002301

0.999899

15/06/2022

1.007908

1.005492

14/06/2022

1.015818

1.013382

10/06/2022

1.047656

1.045144

09/06/2022

1.062574

1.060026

08/06/2022

1.074988

1.072412

07/06/2022

1.068481

1.065919

06/06/2022

1.079093

1.076507

03/06/2022

1.084199

1.081601

02/06/2022

1.078092

1.075508

01/06/2022

1.083799

1.081201

31/05/2022

1.082497

1.079903

30/05/2022

1.091708

1.089092

27/05/2022

1.081596

1.079004

26/05/2022

1.071284

1.068716

25/05/2022

1.078793

1.076207

24/05/2022

1.074087

1.071513