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

04/02/2022

1.668384

1.664223

03/02/2022

1.661921

1.657777

02/02/2022

1.668116

1.663956

01/02/2022

1.661002

1.656860

31/01/2022

1.657039

1.652083

28/01/2022

1.656902

1.651946

27/01/2022

1.645350

1.640429

25/01/2022

1.640904

1.635996

24/01/2022

1.652933

1.647989

21/01/2022

1.657908

1.652949

20/01/2022

1.669469

1.664476

19/01/2022

1.674040

1.669033

18/01/2022

1.676816

1.671801

17/01/2022

1.680771

1.675744

14/01/2022

1.679059

1.674037

13/01/2022

1.679945

1.674920

12/01/2022

1.676468

1.671454

11/01/2022

1.676465

1.671451

10/01/2022

1.678544

1.673523

07/01/2022

1.678968

1.673946

06/01/2022

1.670194

1.665198

05/01/2022

1.677329

1.672312

04/01/2022

1.678251

1.673231

31/12/2021

1.667786

1.662798

30/12/2021

1.671578

1.666578

29/12/2021

1.671139

1.666141

24/12/2021

1.659615

1.654651

23/12/2021

1.657247

1.652290

22/12/2021

1.654382

1.649434

21/12/2021

1.654038

1.649091