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 ESG Credit Income Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

10/07/2025

1.024788

1.021718

09/07/2025

1.023769

1.020703

08/07/2025

1.024009

1.020941

07/07/2025

1.023467

1.020401

04/07/2025

1.022802

1.019738

03/07/2025

1.022363

1.019301

02/07/2025

1.021850

1.018790

01/07/2025

1.021394

1.018334

30/06/2025

1.044318

1.041190

27/06/2025

1.043541

1.040415

26/06/2025

1.042957

1.039833

25/06/2025

1.043168

1.040044

24/06/2025

1.042756

1.039632

23/06/2025

1.041874

1.038754

20/06/2025

1.042247

1.039125

19/06/2025

1.041979

1.038857

18/06/2025

1.041871

1.038751

17/06/2025

1.042009

1.038887

16/06/2025

1.042228

1.039106

13/06/2025

1.041866

1.038746

12/06/2025

1.041222

1.038104

11/06/2025

1.041805

1.038685

10/06/2025

1.041862

1.038742

06/06/2025

1.040877

1.037759

05/06/2025

1.040796

1.037678

04/06/2025

1.040204

1.037088

03/06/2025

1.039673

1.036559

02/06/2025

1.039348

1.036234

30/05/2025

1.037849

1.034741

29/05/2025

1.037316

1.034208