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

19/09/2017

1.032283

1.030840

18/09/2017

1.032540

1.031096

15/09/2017

1.033078

1.031634

14/09/2017

1.033368

1.031924

13/09/2017

1.034398

1.032952

12/09/2017

1.034802

1.033355

11/09/2017

1.035096

1.033649

08/09/2017

1.035012

1.033565

07/09/2017

1.034180

1.032735

06/09/2017

1.034730

1.033283

05/09/2017

1.033892

1.032446

04/09/2017

1.034856

1.033409

01/09/2017

1.033647

1.032202

31/08/2017

1.032655

1.031211

30/08/2017

1.032772

1.031328

29/08/2017

1.033789

1.032344

28/08/2017

1.033260

1.031815

25/08/2017

1.033550

1.032106

24/08/2017

1.033510

1.032065

23/08/2017

1.032824

1.031380

22/08/2017

1.033200

1.031756

21/08/2017

1.033378

1.031933

18/08/2017

1.033616

1.032171

17/08/2017

1.033195

1.031751

16/08/2017

1.032866

1.031422

15/08/2017

1.033022

1.031578

14/08/2017

1.033208

1.031764

11/08/2017

1.033489

1.032044

10/08/2017

1.032593

1.031149

09/08/2017

1.032947

1.031503