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Unit Prices

Perpetual Diversified Income Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

04/12/2025

0.993009

0.990035

03/12/2025

0.993025

0.990051

02/12/2025

0.993190

0.990214

01/12/2025

0.993399

0.990423

30/11/2025

0.993329

0.990353

28/11/2025

0.993329

0.990353

27/11/2025

0.992813

0.989839

26/11/2025

0.992318

0.989346

25/11/2025

0.992790

0.989816

24/11/2025

0.992654

0.989680

21/11/2025

0.992155

0.989183

20/11/2025

0.992493

0.989519

19/11/2025

0.992692

0.989718

18/11/2025

0.992488

0.989514

17/11/2025

0.992487

0.989514

14/11/2025

0.992561

0.989587

13/11/2025

0.992526

0.989552

12/11/2025

0.992794

0.989820

11/11/2025

0.992727

0.989753

10/11/2025

0.992481

0.989509

07/11/2025

0.992493

0.989519

06/11/2025

0.992166

0.989194

05/11/2025

0.992631

0.989657

04/11/2025

0.991918

0.988946

03/11/2025

0.992415

0.989443

31/10/2025

0.992469

0.989497

30/10/2025

0.992144

0.989172

29/10/2025

0.992138

0.989166

28/10/2025

0.991483

0.988513

27/10/2025

0.991032

0.988064