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 Investment Funds

As of Date Entry Price Exit Price

06/08/2025

1.308362

1.305099

05/08/2025

1.306907

1.303648

01/08/2025

1.295947

1.292715

31/07/2025

1.302867

1.299618

30/07/2025

1.308863

1.305599

29/07/2025

1.306204

1.302947

28/07/2025

1.307332

1.304072

25/07/2025

1.305650

1.302394

24/07/2025

1.305787

1.302531

23/07/2025

1.309546

1.306280

22/07/2025

1.302110

1.298863

21/07/2025

1.299058

1.295818

18/07/2025

1.301999

1.298752

17/07/2025

1.299672

1.296431

16/07/2025

1.290885

1.287666

15/07/2025

1.291298

1.288078

14/07/2025

1.294100

1.290873

11/07/2025

1.293727

1.290501

10/07/2025

1.297682

1.294446

09/07/2025

1.294952

1.291723

08/07/2025

1.296502

1.293269

07/07/2025

1.298185

1.294948

04/07/2025

1.301874

1.298627

03/07/2025

1.300376

1.297133

02/07/2025

1.297949

1.294712

01/07/2025

1.294085

1.290858

30/06/2025

1.351657

1.348286

27/06/2025

1.350499

1.347131

26/06/2025

1.347913

1.344552

25/06/2025

1.345563

1.342207