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

30/09/2025

1.060683

1.059623

29/09/2025

1.060310

1.059250

26/09/2025

1.059859

1.058799

25/09/2025

1.059940

1.058880

24/09/2025

1.059664

1.058604

23/09/2025

1.059427

1.058369

22/09/2025

1.059276

1.058218

19/09/2025

1.058902

1.057844

18/09/2025

1.058855

1.057797

17/09/2025

1.058667

1.057609

16/09/2025

1.058428

1.057370

15/09/2025

1.058294

1.057236

12/09/2025

1.058015

1.056957

11/09/2025

1.057458

1.056402

10/09/2025

1.057227

1.056171

09/09/2025

1.057112

1.056056

08/09/2025

1.056846

1.055790

05/09/2025

1.056423

1.055367

04/09/2025

1.056396

1.055340

03/09/2025

1.056037

1.054981

02/09/2025

1.056005

1.054949

01/09/2025

1.055953

1.054897

31/08/2025

1.055734

1.054678

29/08/2025

1.055734

1.054678

28/08/2025

1.055194

1.054140

27/08/2025

1.055036

1.053982

26/08/2025

1.054891

1.053837

25/08/2025

1.054902

1.053848

22/08/2025

1.054320

1.053266

21/08/2025

1.054360

1.053306