What can we help you find?

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

18/09/2019

1.049597

1.048130

17/09/2019

1.048921

1.047454

16/09/2019

1.048492

1.047026

13/09/2019

1.047755

1.046290

12/09/2019

1.049044

1.047578

11/09/2019

1.048831

1.047365

10/09/2019

1.049666

1.048199

09/09/2019

1.051232

1.049762

06/09/2019

1.051189

1.049720

05/09/2019

1.052080

1.050609

04/09/2019

1.053881

1.052407

03/09/2019

1.053549

1.052076

02/09/2019

1.053289

1.051817

31/08/2019

1.053681

1.052208

30/08/2019

1.053681

1.052208

29/08/2019

1.053486

1.052013

28/08/2019

1.053827

1.052354

27/08/2019

1.052866

1.051394

26/08/2019

1.052128

1.050657

23/08/2019

1.051353

1.049883

22/08/2019

1.051327

1.049857

21/08/2019

1.051235

1.049765

20/08/2019

1.051164

1.049695

19/08/2019

1.050803

1.049334

16/08/2019

1.051875

1.050405

15/08/2019

1.051876

1.050406

14/08/2019

1.050336

1.048868

13/08/2019

1.049512

1.048045

12/08/2019

1.049406

1.047939

09/08/2019

1.048607

1.047141