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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

25/03/2015

1.057113

1.055635

24/03/2015

1.056146

1.054669

23/03/2015

1.055942

1.054466

20/03/2015

1.056119

1.054643

19/03/2015

1.056803

1.055325

18/03/2015

1.054708

1.053234

17/03/2015

1.055110

1.053635

16/03/2015

1.055393

1.053918

13/03/2015

1.053897

1.052424

12/03/2015

1.054769

1.053294

11/03/2015

1.053600

1.052127

10/03/2015

1.052040

1.050569

09/03/2015

1.051193

1.049723

06/03/2015

1.052941

1.051469

05/03/2015

1.052378

1.050906

04/03/2015

1.052179

1.050708

03/03/2015

1.053286

1.051813

02/03/2015

1.054105

1.052631

28/02/2015

1.053945

1.052472

27/02/2015

1.053945

1.052472

26/02/2015

1.054275

1.052801

25/02/2015

1.052408

1.050936

24/02/2015

1.051695

1.050225

23/02/2015

1.051138

1.049668

20/02/2015

1.051256

1.049786

19/02/2015

1.051573

1.050102

18/02/2015

1.050257

1.048789

17/02/2015

1.051596

1.050126

16/02/2015

1.050915

1.049446

13/02/2015

1.051380

1.049910