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Unit Prices

Perpetual Diversified Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

19/10/2015

1.055331

1.052802

16/10/2015

1.055675

1.053145

15/10/2015

1.052171

1.049649

14/10/2015

1.050533

1.048014

13/10/2015

1.050043

1.047526

12/10/2015

1.050542

1.048023

09/10/2015

1.053094

1.050570

08/10/2015

1.053109

1.050585

07/10/2015

1.050997

1.048477

06/10/2015

1.051362

1.048842

02/10/2015

1.044137

1.041634

01/10/2015

1.043106

1.040606

30/09/2015

1.043478

1.040977

29/09/2015

1.040185

1.037691

28/09/2015

1.045277

1.042772

25/09/2015

1.046131

1.043624

24/09/2015

1.044656

1.042152

23/09/2015

1.044713

1.042209

22/09/2015

1.044724

1.042219

21/09/2015

1.042469

1.039971

18/09/2015

1.042066

1.039568

17/09/2015

1.045707

1.043200

16/09/2015

1.044720

1.042215

15/09/2015

1.044814

1.042309

14/09/2015

1.045220

1.042714

11/09/2015

1.046700

1.044190

10/09/2015

1.050730

1.048211

09/09/2015

1.052799

1.050275

08/09/2015

1.052600

1.050077

07/09/2015

1.052517

1.049994

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45