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

05/12/2019

1.043353

1.041269

04/12/2019

1.043939

1.041853

03/12/2019

1.041131

1.039051

02/12/2019

1.043089

1.041005

30/11/2019

1.044199

1.042113

29/11/2019

1.044164

1.042078

28/11/2019

1.044451

1.042364

27/11/2019

1.043769

1.041683

26/11/2019

1.043168

1.041084

25/11/2019

1.042849

1.040766

22/11/2019

1.042692

1.040608

21/11/2019

1.043036

1.040952

20/11/2019

1.043025

1.040941

19/11/2019

1.042466

1.040383

18/11/2019

1.041917

1.039835

15/11/2019

1.041726

1.039645

14/11/2019

1.041434

1.039353

13/11/2019

1.039150

1.037074

12/11/2019

1.038938

1.036863

11/11/2019

1.038527

1.036452

08/11/2019

1.038417

1.036342

07/11/2019

1.039660

1.037583

06/11/2019

1.038360

1.036286

05/11/2019

1.039661

1.037584

04/11/2019

1.040246

1.038168

01/11/2019

1.041696

1.039615

31/10/2019

1.041010

1.038930

30/10/2019

1.040962

1.038882

29/10/2019

1.040099

1.038021

28/10/2019

1.042098

1.040016