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

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

28/08/2024

0.996702

0.994713

27/08/2024

0.997075

0.995085

26/08/2024

0.998627

0.996634

23/08/2024

0.997140

0.995150

22/08/2024

0.996443

0.994454

21/08/2024

0.998171

0.996179

20/08/2024

0.996106

0.994118

19/08/2024

0.995510

0.993523

16/08/2024

0.994886

0.992900

15/08/2024

0.995218

0.993232

14/08/2024

0.996659

0.994670

13/08/2024

0.994019

0.992035

12/08/2024

0.991575

0.989596

09/08/2024

0.990885

0.988907

08/08/2024

0.988759

0.986785

07/08/2024

0.988310

0.986337

06/08/2024

0.991064

0.989086

02/08/2024

0.992035

0.990055

01/08/2024

0.987932

0.985960

31/07/2024

0.983793

0.981829

30/07/2024

0.979687

0.977732

29/07/2024

0.978964

0.977010

26/07/2024

0.977353

0.975402

25/07/2024

0.976324

0.974375

24/07/2024

0.975290

0.973343

23/07/2024

0.975768

0.973820

22/07/2024

0.975776

0.973828

19/07/2024

0.976415

0.974466

18/07/2024

0.978465

0.976512

17/07/2024

0.978686

0.976733