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Unit Prices

Perpetual Diversified Private Debt Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

04/02/2025

1.000250

1.000250

03/02/2025

1.000009

1.000009

31/01/2025

1.002604

1.002604

30/01/2025

1.002359

1.002359

29/01/2025

1.002121

1.002121

28/01/2025

1.001870

1.001870

24/01/2025

1.000885

1.000885

23/01/2025

1.000651

1.000651

22/01/2025

1.000413

1.000413

21/01/2025

1.000175

1.000175

20/01/2025

0.999908

0.999908

17/01/2025

0.999215

0.999215

16/01/2025

0.998979

0.998979

15/01/2025

0.998735

0.998735

14/01/2025

0.998501

0.998501

13/01/2025

0.998278

0.998278

10/01/2025

0.997588

0.997588

09/01/2025

0.997338

0.997338

08/01/2025

0.997088

0.997088

07/01/2025

0.996783

0.996783

06/01/2025

0.996538

0.996538

03/01/2025

0.995768

0.995768

02/01/2025

0.995519

0.995519

31/12/2024

1.010429

1.010429

30/12/2024

1.010511

1.010511

27/12/2024

1.009670

1.009670

24/12/2024

1.009263

1.009263

23/12/2024

1.009002

1.009002

20/12/2024

1.008258

1.008258

19/12/2024

1.007997

1.007997