What can we help you find?

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Perpetual Wholesale International Share Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/02/2025

4.100113

4.089888

11/02/2025

4.088781

4.078585

10/02/2025

4.093680

4.083471

07/02/2025

4.088780

4.078584

06/02/2025

4.111487

4.101234

05/02/2025

4.088623

4.078427

04/02/2025

4.086530

4.076339

03/02/2025

4.089093

4.078896

31/01/2025

4.117923

4.107654

30/01/2025

4.141203

4.130876

29/01/2025

4.116420

4.106155

28/01/2025

4.111441

4.101188

24/01/2025

4.059832

4.049708

23/01/2025

4.085998

4.075808

22/01/2025

4.067013

4.056871

21/01/2025

4.089321

4.079123

20/01/2025

4.072886

4.062729

17/01/2025

4.079007

4.068835

16/01/2025

4.057483

4.047365

15/01/2025

4.031911

4.021856

14/01/2025

4.004921

3.994934

13/01/2025

3.998465

3.988494

10/01/2025

3.982332

3.972401

09/01/2025

4.000518

3.990542

08/01/2025

3.989946

3.979996

07/01/2025

3.980897

3.970970

06/01/2025

3.980426

3.970500

03/01/2025

3.990882

3.980930

02/01/2025

3.976321

3.966405

31/12/2024

4.041619

4.031540