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

11/05/2021

1.055562

1.053455

10/05/2021

1.056129

1.054021

07/05/2021

1.056451

1.054342

06/05/2021

1.056034

1.053926

05/05/2021

1.055224

1.053118

04/05/2021

1.054977

1.052871

03/05/2021

1.054974

1.052869

30/04/2021

1.054884

1.052778

29/04/2021

1.055056

1.052950

28/04/2021

1.055017

1.052912

27/04/2021

1.054898

1.052793

26/04/2021

1.054962

1.052856

23/04/2021

1.055175

1.053069

22/04/2021

1.055537

1.053430

21/04/2021

1.054818

1.052713

20/04/2021

1.054072

1.051968

19/04/2021

1.054925

1.052820

16/04/2021

1.054693

1.052588

15/04/2021

1.054410

1.052306

14/04/2021

1.053595

1.051492

13/04/2021

1.052761

1.050659

12/04/2021

1.053130

1.051028

09/04/2021

1.053435

1.051333

08/04/2021

1.054120

1.052016

07/04/2021

1.053473

1.051370

06/04/2021

1.052679

1.050578

01/04/2021

1.051272

1.049174

31/03/2021

1.053803

1.051385

30/03/2021

1.053608

1.051191

29/03/2021

1.055061

1.052640