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Unit Prices

Perpetual ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

31/07/2018

1.003235

1.001231

30/07/2018

1.002884

1.000880

27/07/2018

1.002805

1.000801

26/07/2018

1.002640

1.000636

25/07/2018

1.002220

1.000218

24/07/2018

1.002232

1.000229

23/07/2018

1.001344

0.999343

20/07/2018

1.001079

0.999079

19/07/2018

1.001060

0.999060

18/07/2018

1.001359

0.999358

17/07/2018

1.001282

0.999281

16/07/2018

1.001245

0.999245

13/07/2018

1.001028

0.999028

12/07/2018

1.001296

0.999295

11/07/2018

1.000677

0.998677

10/07/2018

1.000982

0.998982

09/07/2018

1.000910

0.998910

06/07/2018

1.000668

0.998668

05/07/2018

1.000326

0.998328

04/07/2018

0.999990

0.997992

03/07/2018

0.999979

0.997981

02/07/2018

1.000023

0.998025

01/07/2018

1.000023

0.998025

30/06/2018

1.001238

0.999238

29/06/2018

1.001179

0.999179

28/06/2018

1.000808

0.998809

27/06/2018

1.001247

0.999246

26/06/2018

1.001408

0.999407

25/06/2018

1.001453

0.999452

22/06/2018

1.001774

0.999773

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211