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 Diversified Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

20/10/2021

1.164039

1.161481

19/10/2021

1.163757

1.161199

18/10/2021

1.164821

1.162261

15/10/2021

1.165525

1.162963

14/10/2021

1.163374

1.160818

13/10/2021

1.162856

1.160300

12/10/2021

1.161046

1.158494

11/10/2021

1.161708

1.159156

08/10/2021

1.163806

1.161248

07/10/2021

1.162672

1.160116

06/10/2021

1.161555

1.159003

05/10/2021

1.162896

1.160340

01/10/2021

1.162284

1.159730

30/09/2021

1.165974

1.163412

29/09/2021

1.165943

1.163381

28/09/2021

1.164218

1.161660

27/09/2021

1.165627

1.163065

24/09/2021

1.164401

1.161842

23/09/2021

1.163806

1.161248

22/09/2021

1.163069

1.160513

21/09/2021

1.161585

1.159032

20/09/2021

1.158262

1.155717

17/09/2021

1.164191

1.161632

16/09/2021

1.166727

1.164163

15/09/2021

1.164872

1.162312

14/09/2021

1.165576

1.163014

13/09/2021

1.163776

1.161218

10/09/2021

1.162679

1.160124

09/09/2021

1.162061

1.159507

08/09/2021

1.165077

1.162516