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Unit Prices

Perpetual Diversified Real Return Fund - Class W

Perpetual Investment Funds

As of Date Entry Price Exit Price

12/02/2025

1.151278

1.148978

11/02/2025

1.151251

1.148951

10/02/2025

1.151060

1.148760

07/02/2025

1.150029

1.147731

06/02/2025

1.150022

1.147724

05/02/2025

1.146995

1.144703

04/02/2025

1.144841

1.142553

03/02/2025

1.146352

1.144062

31/01/2025

1.146627

1.144337

30/01/2025

1.148522

1.146228

29/01/2025

1.145868

1.143578

28/01/2025

1.144766

1.142478

24/01/2025

1.140306

1.138028

23/01/2025

1.141721

1.139439

22/01/2025

1.140512

1.138234

21/01/2025

1.144406

1.142120

20/01/2025

1.142659

1.140375

17/01/2025

1.144512

1.142226

16/01/2025

1.143049

1.140765

15/01/2025

1.140091

1.137813

14/01/2025

1.137190

1.134918

13/01/2025

1.136006

1.133736

10/01/2025

1.138095

1.135821

09/01/2025

1.139700

1.137422

08/01/2025

1.138700

1.136424

07/01/2025

1.139244

1.136968

06/01/2025

1.139317

1.137041

03/01/2025

1.141960

1.139678

02/01/2025

1.140402

1.138124

31/12/2024

1.141713

1.139431