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Unit Prices

Perpetual Diversified Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

28/07/2023

0.967737

0.964839

27/07/2023

0.968741

0.965839

26/07/2023

0.967509

0.964611

25/07/2023

0.967229

0.964331

24/07/2023

0.966958

0.964062

21/07/2023

0.966257

0.963363

20/07/2023

0.966618

0.963722

19/07/2023

0.966626

0.963730

18/07/2023

0.965795

0.962901

17/07/2023

0.965487

0.962595

14/07/2023

0.965824

0.962930

13/07/2023

0.964812

0.961922

12/07/2023

0.963809

0.960921

11/07/2023

0.963451

0.960565

10/07/2023

0.962469

0.959585

01/07/2023

0.963030

0.960146

30/06/2023

0.978816

0.975884

29/06/2023

0.979238

0.976304

28/06/2023

0.978134

0.975204

27/06/2023

0.977997

0.975067

26/06/2023

0.977508

0.974580

23/06/2023

0.977021

0.974095

22/06/2023

0.977605

0.974677

21/06/2023

0.977051

0.974125

20/06/2023

0.976472

0.973546

19/06/2023

0.977332

0.974404

16/06/2023

0.976455

0.973531

15/06/2023

0.975833

0.972909

14/06/2023

0.975847

0.972923

13/06/2023

0.975875

0.972951

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45