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Unit Prices

Perpetual Pure Value Share Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/02/2025

1.613622

1.609754

11/02/2025

1.606028

1.602178

10/02/2025

1.599867

1.596031

07/02/2025

1.598896

1.595064

06/02/2025

1.599129

1.595295

05/02/2025

1.594269

1.590447

04/02/2025

1.587952

1.584146

03/02/2025

1.589648

1.585838

31/01/2025

1.616042

1.612168

30/01/2025

1.609731

1.605873

29/01/2025

1.605110

1.601262

28/01/2025

1.595194

1.591370

24/01/2025

1.603666

1.599822

23/01/2025

1.603976

1.600132

22/01/2025

1.613781

1.609913

21/01/2025

1.617101

1.613225

20/01/2025

1.610117

1.606257

17/01/2025

1.612269

1.608405

16/01/2025

1.600310

1.596474

15/01/2025

1.592775

1.588957

14/01/2025

1.597616

1.593786

13/01/2025

1.570677

1.566911

10/01/2025

1.585837

1.582035

09/01/2025

1.582045

1.578253

08/01/2025

1.588057

1.584251

07/01/2025

1.584053

1.580255

06/01/2025

1.588954

1.585146

03/01/2025

1.595850

1.592024

02/01/2025

1.590103

1.586291

31/12/2024

1.609299

1.605441