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

28/01/2021

1.007779

1.005665

27/01/2021

1.008858

1.006741

25/01/2021

1.014574

1.012446

22/01/2021

1.015237

1.013107

21/01/2021

1.016981

1.014848

20/01/2021

1.018886

1.016748

19/01/2021

1.019123

1.016985

18/01/2021

1.017151

1.015017

15/01/2021

1.017691

1.015556

14/01/2021

1.018376

1.016239

13/01/2021

1.017841

1.015706

12/01/2021

1.016833

1.014700

11/01/2021

1.016769

1.014636

08/01/2021

1.016933

1.014799

07/01/2021

1.016883

1.014750

06/01/2021

1.014270

1.012142

05/01/2021

1.010504

1.008384

04/01/2021

1.010216

1.008096

31/12/2020

1.006154

1.004043

30/12/2020

1.008388

1.006272

29/12/2020

1.008220

1.006105

24/12/2020

1.006080

1.003969

23/12/2020

1.006145

1.004034

22/12/2020

1.004561

1.002454

21/12/2020

1.004899

1.002791

18/12/2020

1.006406

1.004295

17/12/2020

1.007842

1.005728

16/12/2020

1.007311

1.005198

15/12/2020

1.007007

1.004894

14/12/2020

1.005375

1.003266