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 Z

Perpetual Investment Funds

As of Date Entry Price Exit Price

27/06/2022

1.049579

1.047481

24/06/2022

1.048555

1.046459

23/06/2022

1.045835

1.043745

22/06/2022

1.045272

1.043184

21/06/2022

1.044002

1.041916

20/06/2022

1.042462

1.040380

17/06/2022

1.044495

1.042409

16/06/2022

1.045585

1.043495

15/06/2022

1.048028

1.045934

14/06/2022

1.051805

1.049703

10/06/2022

1.058668

1.056552

09/06/2022

1.061380

1.059260

08/06/2022

1.063026

1.060902

07/06/2022

1.063341

1.061217

06/06/2022

1.064145

1.062019

03/06/2022

1.064282

1.062156

02/06/2022

1.066189

1.064059

01/06/2022

1.066689

1.064557

31/05/2022

1.069094

1.066958

30/05/2022

1.070750

1.068610

27/05/2022

1.072305

1.070163

26/05/2022

1.072851

1.070707

25/05/2022

1.069690

1.067552

24/05/2022

1.067601

1.065467

23/05/2022

1.066738

1.064606

20/05/2022

1.067678

1.065544

19/05/2022

1.066631

1.064499

18/05/2022

1.070917

1.068777

17/05/2022

1.071369

1.069229

16/05/2022

1.073796

1.071650