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Unit Prices

Perpetual ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/06/2019

1.007868

1.005854

11/06/2019

1.007880

1.005866

07/06/2019

1.007492

1.005479

06/06/2019

1.007095

1.005082

05/06/2019

1.007167

1.005155

04/06/2019

1.006798

1.004787

03/06/2019

1.006263

1.004253

31/05/2019

1.006296

1.004286

30/05/2019

1.006474

1.004463

29/05/2019

1.006114

1.004104

28/05/2019

1.006362

1.004351

27/05/2019

1.006144

1.004134

24/05/2019

1.006071

1.004061

23/05/2019

1.005976

1.003966

22/05/2019

1.005824

1.003814

21/05/2019

1.005856

1.003846

20/05/2019

1.005805

1.003796

17/05/2019

1.005589

1.003580

16/05/2019

1.005562

1.003553

15/05/2019

1.005445

1.003436

14/05/2019

1.005498

1.003489

13/05/2019

1.005506

1.003497

10/05/2019

1.005291

1.003282

09/05/2019

1.004937

1.002929

08/05/2019

1.005066

1.003057

07/05/2019

1.005085

1.003077

06/05/2019

1.005290

1.003281

03/05/2019

1.005243

1.003235

02/05/2019

1.005005

1.002997

01/05/2019

1.004797

1.002789

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45