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Unit Prices

Perpetual Diversified Real Return Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

24/04/2025

0.983360

0.981396

23/04/2025

0.979036

0.976689

22/04/2025

0.977206

0.974863

17/04/2025

0.976977

0.974635

16/04/2025

0.971715

0.969385

15/04/2025

0.972221

0.969890

14/04/2025

0.971093

0.968765

11/04/2025

0.968347

0.966026

10/04/2025

0.963697

0.961386

09/04/2025

0.968855

0.966532

08/04/2025

0.959716

0.957798

07/04/2025

0.962776

0.960852

04/04/2025

0.970576

0.968636

03/04/2025

0.979168

0.977212

02/04/2025

0.987569

0.985595

01/04/2025

0.987199

0.985227

31/03/2025

0.987424

0.985452

28/03/2025

0.987884

0.985910

27/03/2025

0.988572

0.986596

26/03/2025

0.989055

0.987079

25/03/2025

0.989103

0.987127

24/03/2025

0.988297

0.986323

21/03/2025

0.988917

0.986941

20/03/2025

0.990386

0.988408

19/03/2025

0.990103

0.988125

18/03/2025

0.988847

0.986871

17/03/2025

0.985821

0.983851

14/03/2025

0.983587

0.981621

13/03/2025

0.980084

0.978126

12/03/2025

0.980014

0.978056