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Unit Prices

Perpetual Pure Value Share Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

14/01/2015

1.388306

1.384148

13/01/2015

1.396027

1.391845

12/01/2015

1.397873

1.393685

09/01/2015

1.402313

1.398112

08/01/2015

1.385726

1.381575

07/01/2015

1.384128

1.379982

06/01/2015

1.389880

1.385717

05/01/2015

1.402194

1.397994

02/01/2015

1.392026

1.387856

31/12/2014

1.408292

1.404073

30/12/2014

1.406026

1.401814

29/12/2014

1.413747

1.409512

24/12/2014

1.399734

1.395541

23/12/2014

1.392717

1.388545

22/12/2014

1.401117

1.396919

19/12/2014

1.390501

1.386336

18/12/2014

1.361481

1.357403

17/12/2014

1.356633

1.352569

16/12/2014

1.354066

1.350010

15/12/2014

1.362467

1.358385

12/12/2014

1.373595

1.369481

11/12/2014

1.373290

1.369176

10/12/2014

1.389698

1.385535

09/12/2014

1.391270

1.387102

08/12/2014

1.412798

1.408566

05/12/2014

1.413083

1.408850

04/12/2014

1.421008

1.416752

03/12/2014

1.416631

1.412388

02/12/2014

1.411701

1.407472

01/12/2014

1.402419

1.398218

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211