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Unit Prices

Perpetual Pure Value Share Fund - Class P

Perpetual Investment Funds

As of Date Entry Price Exit Price

24/04/2025

0.974095

0.971759

23/04/2025

0.968040

0.965720

22/04/2025

0.956070

0.953778

17/04/2025

0.961956

0.959650

16/04/2025

0.950983

0.948703

15/04/2025

0.953308

0.951022

14/04/2025

0.955284

0.952994

11/04/2025

0.951769

0.949487

10/04/2025

0.948742

0.946468

09/04/2025

0.919653

0.917449

08/04/2025

0.928437

0.926211

07/04/2025

0.915843

0.913647

04/04/2025

0.936976

0.934730

03/04/2025

0.961874

0.959568

02/04/2025

0.976341

0.974001

01/04/2025

0.984025

0.981667

31/03/2025

0.979617

0.977269

28/03/2025

0.997842

0.995450

27/03/2025

1.001352

0.998952

26/03/2025

1.001234

0.998834

25/03/2025

1.001914

0.999512

24/03/2025

1.007646

1.005230

21/03/2025

1.008308

1.005890

20/03/2025

1.016632

1.014196

19/03/2025

1.009366

1.006946

18/03/2025

1.008851

1.006433

17/03/2025

1.007270

1.004856

14/03/2025

0.995290

0.992904

13/03/2025

0.986229

0.983865

12/03/2025

0.991646

0.989268