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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

26/08/2020

1.055182

1.052761

25/08/2020

1.056040

1.053617

24/08/2020

1.056862

1.054437

21/08/2020

1.056316

1.053892

20/08/2020

1.056407

1.053983

19/08/2020

1.056163

1.053739

18/08/2020

1.055846

1.053423

17/08/2020

1.055402

1.052980

14/08/2020

1.054697

1.052277

13/08/2020

1.055233

1.052812

12/08/2020

1.055275

1.052854

11/08/2020

1.056108

1.053685

10/08/2020

1.056866

1.054441

07/08/2020

1.056707

1.054282

06/08/2020

1.056343

1.053919

05/08/2020

1.055879

1.053456

04/08/2020

1.055613

1.053191

31/07/2020

1.054958

1.052537

30/07/2020

1.054409

1.051990

29/07/2020

1.054040

1.051621

28/07/2020

1.053339

1.050922

27/07/2020

1.053539

1.051121

24/07/2020

1.053525

1.051108

23/07/2020

1.053634

1.051216

22/07/2020

1.052912

1.050496

21/07/2020

1.052562

1.050147

20/07/2020

1.051160

1.048748

17/07/2020

1.050559

1.048149

16/07/2020

1.050369

1.047959

15/07/2020

1.049980

1.047571