What can we help you find?

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 Diversified Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

13/01/2016

1.055770

1.053240

12/01/2016

1.056195

1.053663

11/01/2016

1.057670

1.055134

08/01/2016

1.059513

1.056973

07/01/2016

1.051985

1.049463

06/01/2016

1.054239

1.051712

05/01/2016

1.053573

1.051047

04/01/2016

1.054072

1.051545

31/12/2015

1.051032

1.048512

30/12/2015

1.052745

1.050221

29/12/2015

1.051419

1.048899

24/12/2015

1.050037

1.047519

23/12/2015

1.047985

1.045473

22/12/2015

1.044690

1.042186

21/12/2015

1.045533

1.043027

18/12/2015

1.045403

1.042897

17/12/2015

1.048826

1.046312

16/12/2015

1.044853

1.042348

15/12/2015

1.043009

1.040509

14/12/2015

1.040747

1.038252

11/12/2015

1.045229

1.042723

10/12/2015

1.043347

1.040846

09/12/2015

1.047648

1.045137

08/12/2015

1.048287

1.045775

07/12/2015

1.050158

1.047640

04/12/2015

1.047788

1.045276

03/12/2015

1.052153

1.049631

02/12/2015

1.056341

1.053808

01/12/2015

1.056207

1.053676

30/11/2015

1.054580

1.052052

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45