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Unit Prices

Perpetual Concentrated Equity Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

19/09/2022

0.915397

0.913203

16/09/2022

0.918501

0.916299

15/09/2022

0.927311

0.925089

14/09/2022

0.924608

0.922392

13/09/2022

0.946134

0.943866

12/09/2022

0.941128

0.938872

09/09/2022

0.935021

0.932779

08/09/2022

0.932818

0.930582

07/09/2022

0.920503

0.918297

06/09/2022

0.930515

0.928285

05/09/2022

0.934320

0.932080

02/09/2022

0.933919

0.931681

01/09/2022

0.933118

0.930882

31/08/2022

0.945333

0.943067

30/08/2022

0.947035

0.944765

29/08/2022

0.937724

0.935476

26/08/2022

0.951340

0.949060

25/08/2022

0.945934

0.943666

24/08/2022

0.937924

0.935676

23/08/2022

0.930515

0.928285

22/08/2022

0.941829

0.939571

19/08/2022

0.951440

0.949160

18/08/2022

0.945533

0.943267

17/08/2022

0.947135

0.944865

16/08/2022

0.939726

0.937474

15/08/2022

0.931917

0.929683

12/08/2022

0.930215

0.927985

11/08/2022

0.932117

0.929883

10/08/2022

0.921504

0.919296

09/08/2022

0.927412

0.925188

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45