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Unit Prices

Perpetual Diversified Private Debt Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

20/01/2026

0.998784

0.998784

19/01/2026

0.998581

0.998581

16/01/2026

0.998025

0.998025

15/01/2026

0.997847

0.997847

14/01/2026

0.997737

0.997737

13/01/2026

0.997529

0.997529

12/01/2026

0.997320

0.997320

09/01/2026

0.996710

0.996710

08/01/2026

0.996517

0.996517

07/01/2026

0.996308

0.996308

06/01/2026

0.996104

0.996104

05/01/2026

0.995900

0.995900

02/01/2026

0.995286

0.995286

31/12/2025

1.001258

1.001258

30/12/2025

1.000833

1.000833

29/12/2025

1.000624

1.000624

24/12/2025

0.998749

0.998749

23/12/2025

0.998544

0.998544

22/12/2025

0.998340

0.998340

19/12/2025

0.997721

0.997721

18/12/2025

0.997307

0.997307

17/12/2025

0.997098

0.997098

16/12/2025

0.996888

0.996888

15/12/2025

0.996708

0.996708

12/12/2025

0.996288

0.996288

11/12/2025

0.996080

0.996080

10/12/2025

0.995881

0.995881

09/12/2025

0.995680

0.995680

08/12/2025

0.995489

0.995489

05/12/2025

0.994870

0.994870