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Unit Prices

Perpetual SHARE-PLUS Long-Short Fund - Class S

Perpetual Investment Funds

As of Date Entry Price Exit Price

30/06/2025

0.953977

0.950549

27/06/2025

0.952407

0.948985

26/06/2025

0.954033

0.950605

25/06/2025

0.951520

0.948100

24/06/2025

0.951005

0.947587

23/06/2025

0.942176

0.938790

20/06/2025

0.941627

0.938243

19/06/2025

0.947903

0.944497

18/06/2025

0.947779

0.944373

17/06/2025

0.950754

0.947338

16/06/2025

0.949210

0.945798

13/06/2025

0.949290

0.945878

12/06/2025

0.953308

0.949882

11/06/2025

0.954077

0.950649

10/06/2025

0.955222

0.951790

06/06/2025

0.943712

0.940320

05/06/2025

0.946421

0.943021

04/06/2025

0.948473

0.945065

03/06/2025

0.947596

0.944190

02/06/2025

0.941845

0.938461

30/05/2025

0.947023

0.943619

29/05/2025

0.942742

0.939354

28/05/2025

0.945936

0.942536

27/05/2025

0.944070

0.940678

26/05/2025

0.940250

0.936872

23/05/2025

0.941788

0.938404

22/05/2025

0.939216

0.935840

21/05/2025

0.944871

0.941475

20/05/2025

0.944209

0.940815

19/05/2025

0.940326

0.936946