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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/01/2023

0.943045

0.941163

03/01/2023

0.940804

0.938926

31/12/2022

0.939395

0.937520

30/12/2022

0.939395

0.937520

29/12/2022

0.939527

0.937652

28/12/2022

0.939109

0.937235

23/12/2022

0.942169

0.940288

22/12/2022

0.943135

0.941252

21/12/2022

0.943839

0.941955

20/12/2022

0.942669

0.940787

19/12/2022

0.945108

0.943222

16/12/2022

0.946551

0.944662

15/12/2022

0.947400

0.945509

14/12/2022

0.949083

0.947189

13/12/2022

0.948235

0.946342

12/12/2022

0.947075

0.945185

09/12/2022

0.948174

0.946281

08/12/2022

0.948234

0.946341

07/12/2022

0.948296

0.946403

06/12/2022

0.947222

0.945331

05/12/2022

0.947301

0.945410

02/12/2022

0.947327

0.945436

01/12/2022

0.945823

0.943935

30/11/2022

0.942699

0.940817

29/11/2022

0.941376

0.939497

28/11/2022

0.942076

0.940196

25/11/2022

0.941450

0.939571

24/11/2022

0.942010

0.940130

23/11/2022

0.940785

0.938907

22/11/2022

0.939446

0.937571