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")

Fund Prices

Perpetual Diversified Income Fund - Class S

As of Date Nav per Unit

28/01/2025

1.064203

24/01/2025

1.063803

23/01/2025

1.063521

22/01/2025

1.063429

21/01/2025

1.062910

20/01/2025

1.062508

17/01/2025

1.061801

16/01/2025

1.061386

15/01/2025

1.060999

14/01/2025

1.061091

13/01/2025

1.060579

10/01/2025

1.060597

09/01/2025

1.060347

08/01/2025

1.060349

07/01/2025

1.060004

06/01/2025

1.059619

03/01/2025

1.059209

02/01/2025

1.058887

31/12/2024

1.072722

30/12/2024

1.072673

27/12/2024

1.072366

24/12/2024

1.071873

23/12/2024

1.071731

20/12/2024

1.071147

19/12/2024

1.071117

18/12/2024

1.071948

17/12/2024

1.071337

16/12/2024

1.071160

13/12/2024

1.070996

12/12/2024

1.070643