What can we help you find?

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 Balanced Growth Fund No.2

Perpetual Investment Funds

As of Date Entry Price Exit Price

04/12/2025

1.594266

1.590290

03/12/2025

1.595855

1.591875

02/12/2025

1.593579

1.589605

01/12/2025

1.593630

1.589656

30/11/2025

1.598774

1.594787

28/11/2025

1.598774

1.594787

27/11/2025

1.596831

1.592849

26/11/2025

1.597000

1.593017

25/11/2025

1.591487

1.587518

24/11/2025

1.582708

1.578761

21/11/2025

1.572106

1.568186

20/11/2025

1.576655

1.572723

19/11/2025

1.572747

1.568825

18/11/2025

1.572267

1.568346

17/11/2025

1.585027

1.581074

14/11/2025

1.587405

1.583446

13/11/2025

1.599746

1.595757

12/11/2025

1.609702

1.605688

11/11/2025

1.605991

1.601986

10/11/2025

1.601546

1.597552

07/11/2025

1.595139

1.591161

06/11/2025

1.594301

1.590325

05/11/2025

1.593621

1.589647

04/11/2025

1.595978

1.591998

03/11/2025

1.605596

1.601592

31/10/2025

1.605882

1.601877

30/10/2025

1.603208

1.599210

29/10/2025

1.608410

1.604399

28/10/2025

1.613445

1.609421

27/10/2025

1.618939

1.614902