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 Private Debt Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

11/03/2025

1.006444

1.006444

10/03/2025

1.006214

1.006214

07/03/2025

1.005529

1.005529

06/03/2025

1.004915

1.004915

05/03/2025

1.004692

1.004692

04/03/2025

1.003532

1.003532

03/03/2025

1.003295

1.003295

28/02/2025

1.005746

1.005746

27/02/2025

1.005523

1.005523

26/02/2025

1.005301

1.005301

25/02/2025

1.005064

1.005064

24/02/2025

1.004833

1.004833

21/02/2025

1.004127

1.004127

20/02/2025

1.003827

1.003827

19/02/2025

1.003638

1.003638

18/02/2025

1.003647

1.003647

17/02/2025

1.003431

1.003431

14/02/2025

1.002738

1.002738

13/02/2025

1.002497

1.002497

12/02/2025

1.002258

1.002258

11/02/2025

1.001970

1.001970

10/02/2025

1.001726

1.001726

07/02/2025

1.001036

1.001036

06/02/2025

1.000795

1.000795

05/02/2025

1.000554

1.000554

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