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

18/03/2021

1.124862

1.122502

17/03/2021

1.128851

1.126482

16/03/2021

1.127683

1.125317

15/03/2021

1.126868

1.124504

12/03/2021

1.124963

1.122603

11/03/2021

1.122148

1.119793

10/03/2021

1.121468

1.119115

09/03/2021

1.120814

1.118463

08/03/2021

1.119837

1.117488

05/03/2021

1.118658

1.116311

04/03/2021

1.112143

1.109810

03/03/2021

1.113754

1.111418

02/03/2021

1.110326

1.107997

01/03/2021

1.110905

1.108575

28/02/2021

1.104063

1.101747

26/02/2021

1.104063

1.101747

25/02/2021

1.106918

1.104596

24/02/2021

1.109908

1.107580

23/02/2021

1.109712

1.107384

22/02/2021

1.106218

1.103898

19/02/2021

1.106695

1.104373

18/02/2021

1.109180

1.106853

17/02/2021

1.113594

1.111258

16/02/2021

1.112679

1.110345

15/02/2021

1.112042

1.109709

12/02/2021

1.108002

1.105678

11/02/2021

1.107196

1.104873

10/02/2021

1.107588

1.105265

09/02/2021

1.106278

1.103957

08/02/2021

1.106572

1.104250