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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

15/05/2023

0.966980

0.965050

12/05/2023

0.970205

0.968268

11/05/2023

0.970059

0.968123

10/05/2023

0.967166

0.965236

09/05/2023

0.965585

0.963658

08/05/2023

0.967167

0.965237

05/05/2023

0.969718

0.967782

04/05/2023

0.971554

0.969615

03/05/2023

0.967746

0.965814

02/05/2023

0.966237

0.964308

01/05/2023

0.967104

0.965174

30/04/2023

0.968364

0.966431

28/04/2023

0.968364

0.966431

27/04/2023

0.965669

0.963742

26/04/2023

0.968938

0.967004

24/04/2023

0.963825

0.961901

21/04/2023

0.962924

0.961002

20/04/2023

0.962464

0.960543

19/04/2023

0.960788

0.958870

18/04/2023

0.962876

0.960954

17/04/2023

0.964908

0.962982

14/04/2023

0.967703

0.965771

13/04/2023

0.969806

0.967870

12/04/2023

0.970578

0.968641

11/04/2023

0.971344

0.969405

06/04/2023

0.974711

0.972765

05/04/2023

0.972860

0.970918

04/04/2023

0.971340

0.969401

03/04/2023

0.968822

0.966888

31/03/2023

0.967207

0.965276