What can we help you find?
Search by Topic

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 Pure Value Share Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

09/04/2015

1.489946

1.485483

08/04/2015

1.498250

1.493762

07/04/2015

1.479169

1.474738

02/04/2015

1.480927

1.476491

01/04/2015

1.470955

1.466549

31/03/2015

1.479252

1.474821

30/03/2015

1.472611

1.468200

27/03/2015

1.483200

1.478757

26/03/2015

1.478071

1.473643

25/03/2015

1.497844

1.493357

24/03/2015

1.486840

1.482386

23/03/2015

1.491217

1.486750

20/03/2015

1.493710

1.489235

19/03/2015

1.483863

1.479418

18/03/2015

1.468719

1.464319

17/03/2015

1.468130

1.463733

16/03/2015

1.462566

1.458185

13/03/2015

1.465096

1.460707

12/03/2015

1.458328

1.453960

11/03/2015

1.448441

1.444102

10/03/2015

1.454883

1.450525

09/03/2015

1.456068

1.451707

06/03/2015

1.472482

1.468071

05/03/2015

1.470276

1.465872

04/03/2015

1.466063

1.461671

03/03/2015

1.467437

1.463042

02/03/2015

1.467281

1.462886

28/02/2015

1.469216

1.464815

27/02/2015

1.469216

1.464815

26/02/2015

1.467580

1.463183

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211