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Unit Prices

Perpetual Balanced Growth Fund No.2

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/02/2025

1.577345

1.573411

11/02/2025

1.577140

1.573207

10/02/2025

1.575177

1.571249

07/02/2025

1.576325

1.572394

06/02/2025

1.578235

1.574299

05/02/2025

1.570279

1.566363

04/02/2025

1.565695

1.561791

03/02/2025

1.568103

1.564193

31/01/2025

1.576783

1.572851

30/01/2025

1.576455

1.572524

29/01/2025

1.572119

1.568199

28/01/2025

1.567896

1.563986

24/01/2025

1.562390

1.558494

23/01/2025

1.561965

1.558070

22/01/2025

1.562639

1.558742

21/01/2025

1.565875

1.561970

20/01/2025

1.559991

1.556101

17/01/2025

1.561406

1.557512

16/01/2025

1.559238

1.555350

15/01/2025

1.548112

1.544251

14/01/2025

1.545731

1.541876

13/01/2025

1.541490

1.537646

10/01/2025

1.550708

1.546841

09/01/2025

1.555088

1.551210

08/01/2025

1.554859

1.550982

07/01/2025

1.551910

1.548040

06/01/2025

1.551885

1.548015

03/01/2025

1.555078

1.551200

02/01/2025

1.548866

1.545003

31/12/2024

1.559216

1.555328