What can we help you find?
Search by Topic

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

25/08/2014

1.029330

1.027891

22/08/2014

1.028465

1.027027

21/08/2014

1.028404

1.026966

20/08/2014

1.028920

1.027481

19/08/2014

1.029227

1.027788

18/08/2014

1.029843

1.028403

15/08/2014

1.028656

1.027218

14/08/2014

1.028797

1.027359

13/08/2014

1.027467

1.026030

12/08/2014

1.027967

1.026530

11/08/2014

1.027907

1.026470

08/08/2014

1.029646

1.028207

07/08/2014

1.027533

1.026096

06/08/2014

1.025834

1.024400

05/08/2014

1.026615

1.025179

01/08/2014

1.025885

1.024451

31/07/2014

1.026445

1.025010

30/07/2014

1.027408

1.025972

29/07/2014

1.026544

1.025109

28/07/2014

1.026966

1.025530

25/07/2014

1.026491

1.025055

24/07/2014

1.026549

1.025114

23/07/2014

1.026585

1.025150

22/07/2014

1.027102

1.025666

21/07/2014

1.026720

1.025285

18/07/2014

1.026767

1.025332