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 Dynamic Fixed Income Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

11/02/2021

1.046480

1.044389

10/02/2021

1.045796

1.043706

09/02/2021

1.044999

1.042911

08/02/2021

1.044199

1.042112

05/02/2021

1.044768

1.042681

04/02/2021

1.044046

1.041960

03/02/2021

1.044705

1.042618

02/02/2021

1.044563

1.042476

01/02/2021

1.044057

1.041971

31/01/2021

1.044104

1.042018

29/01/2021

1.044060

1.041973

28/01/2021

1.044642

1.042555

27/01/2021

1.044874

1.042786

25/01/2021

1.044356

1.042269

22/01/2021

1.044039

1.041953

21/01/2021

1.044759

1.042671

20/01/2021

1.044074

1.041988

19/01/2021

1.043267

1.041183

18/01/2021

1.043431

1.041346

15/01/2021

1.043074

1.040990

14/01/2021

1.042750

1.040666

13/01/2021

1.042709

1.040626

12/01/2021

1.042405

1.040322

11/01/2021

1.042618

1.040535

08/01/2021

1.042590

1.040507

07/01/2021

1.042475

1.040392

06/01/2021

1.042319

1.040237

05/01/2021

1.042094

1.040012

04/01/2021

1.041969

1.039887

31/12/2020

1.050638

1.048539