What can we help you find?
Search by Topic

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Perpetual ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

13/09/2024

1.023709

1.020643

12/09/2024

1.024179

1.021111

11/09/2024

1.023683

1.020617

10/09/2024

1.023645

1.020579

09/09/2024

1.035229

1.032127

06/09/2024

1.035388

1.032286

05/09/2024

1.035354

1.032252

04/09/2024

1.035302

1.032200

03/09/2024

1.035490

1.032388

02/09/2024

1.035934

1.032830

31/08/2024

1.034933

1.031833

30/08/2024

1.034933

1.031833

29/08/2024

1.034598

1.031498

28/08/2024

1.034244

1.031146

27/08/2024

1.034058

1.030960

26/08/2024

1.033665

1.030569

23/08/2024

1.033297

1.030201

22/08/2024

1.032647

1.029553

21/08/2024

1.032511

1.029419

20/08/2024

1.032408

1.029316

19/08/2024

1.032389

1.029297

16/08/2024

1.031832

1.028742

15/08/2024

1.031609

1.028519

14/08/2024

1.029408

1.026324

13/08/2024

1.028796

1.025714

12/08/2024

1.028803

1.025721

09/08/2024

1.028306

1.025226

08/08/2024

1.028258

1.025178

07/08/2024

1.027888

1.024808

06/08/2024

1.027038

1.023962