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 Balanced Growth Fund No.2

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/06/2020

1.510255

1.505287

11/06/2020

1.517001

1.512012

10/06/2020

1.546966

1.541878

09/06/2020

1.551359

1.546256

05/06/2020

1.539540

1.534476

04/06/2020

1.526540

1.521519

03/06/2020

1.526776

1.521754

02/06/2020

1.510367

1.505399

01/06/2020

1.508070

1.503109

31/05/2020

1.508923

1.503960

29/05/2020

1.508923

1.503960

28/05/2020

1.513315

1.508187

27/05/2020

1.510646

1.505527

26/05/2020

1.499586

1.494505

25/05/2020

1.487540

1.482499

22/05/2020

1.476071

1.471069

21/05/2020

1.481129

1.476110

20/05/2020

1.481146

1.476127

19/05/2020

1.476834

1.471830

18/05/2020

1.476194

1.471192

15/05/2020

1.463012

1.458054

14/05/2020

1.453558

1.448633

13/05/2020

1.457527

1.452588

12/05/2020

1.463159

1.458201

11/05/2020

1.474579

1.469582

08/05/2020

1.467549

1.462577

07/05/2020

1.463690

1.458439

06/05/2020

1.462204

1.456959

05/05/2020

1.467016

1.461754

04/05/2020

1.458342

1.453111