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

12/09/2022

0.981917

09/09/2022

0.981318

08/09/2022

0.980119

07/09/2022

0.977222

06/09/2022

0.978121

05/09/2022

0.977422

02/09/2022

0.977422

01/09/2022

0.976323

31/08/2022

0.977821

30/08/2022

0.978021

29/08/2022

0.977821

26/08/2022

0.978221

25/08/2022

0.977122

24/08/2022

0.977122

23/08/2022

0.976622

22/08/2022

0.976922

19/08/2022

0.977122

18/08/2022

0.977222

17/08/2022

0.977921

16/08/2022

0.977821

15/08/2022

0.976223

12/08/2022

0.975923

11/08/2022

0.977122

10/08/2022

0.975823

09/08/2022

0.975823

08/08/2022

0.975024

05/08/2022

0.975524

04/08/2022

0.973725

03/08/2022

0.974025

02/08/2022

0.974924