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Unit Prices

Perpetual Diversified Fixed Income Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

02/06/2022

0.983483

0.981518

01/06/2022

0.983683

0.981717

31/05/2022

0.983483

0.981518

30/05/2022

0.983783

0.981817

27/05/2022

0.982882

0.980918

26/05/2022

0.982482

0.980519

25/05/2022

0.981881

0.979919

24/05/2022

0.981280

0.979320

23/05/2022

0.982482

0.980519

20/05/2022

0.981380

0.979420

19/05/2022

0.981481

0.979520

18/05/2022

0.981881

0.979919

17/05/2022

0.983082

0.981118

16/05/2022

0.982381

0.980419

13/05/2022

0.982482

0.980519

12/05/2022

0.981881

0.979919

11/05/2022

0.981981

0.980019

10/05/2022

0.981380

0.979420

09/05/2022

0.981481

0.979520

06/05/2022

0.984083

0.982117

05/05/2022

0.985384

0.983416

04/05/2022

0.983683

0.981717

03/05/2022

0.985685

0.983715

02/05/2022

0.986686

0.984714

30/04/2022

0.987787

0.985813

29/04/2022

0.987787

0.985813

28/04/2022

0.988287

0.986313

27/04/2022

0.988187

0.986213

26/04/2022

0.987987

0.986013

22/04/2022

0.989088

0.987112