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Unit Prices

Perpetual SHARE-PLUS Long-Short Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

16/01/2025

2.991644

2.980894

15/01/2025

2.963383

2.952733

14/01/2025

2.969219

2.958549

13/01/2025

2.953755

2.943141

10/01/2025

3.005120

2.994322

09/01/2025

3.008406

2.997596

08/01/2025

3.003196

2.992404

07/01/2025

2.975862

2.965168

06/01/2025

2.981984

2.971268

03/01/2025

2.987845

2.977109

02/01/2025

2.973992

2.963304

31/12/2024

3.011778

3.000956

30/12/2024

3.026238

3.015364

27/12/2024

3.032390

3.021494

24/12/2024

3.017712

3.006868

23/12/2024

3.009801

2.998985

20/12/2024

2.969531

2.958859

19/12/2024

2.998167

2.987393

18/12/2024

3.039209

3.028287

17/12/2024

3.040850

3.029922

16/12/2024

3.027628

3.016748

13/12/2024

3.064774

3.053760

12/12/2024

3.092509

3.081395

11/12/2024

3.104468

3.093312

10/12/2024

3.102937

3.091787

09/12/2024

3.108326

3.097156

06/12/2024

3.114214

3.103022

05/12/2024

3.127612

3.116372

04/12/2024

3.126843

3.115607

03/12/2024

3.139458

3.128176