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

25/01/2018

1.033429

1.031984

24/01/2018

1.033064

1.031620

23/01/2018

1.033033

1.031589

22/01/2018

1.032377

1.030934

19/01/2018

1.032140

1.030697

18/01/2018

1.032643

1.031199

17/01/2018

1.032798

1.031354

16/01/2018

1.033035

1.031591

15/01/2018

1.032825

1.031382

12/01/2018

1.032706

1.031262

11/01/2018

1.032596

1.031153

10/01/2018

1.032570

1.031127

09/01/2018

1.032878

1.031434

08/01/2018

1.033750

1.032305

05/01/2018

1.033641

1.032196

04/01/2018

1.033189

1.031745

03/01/2018

1.032512

1.031068

02/01/2018

1.031909

1.030466

31/12/2017

1.040409

1.038954

29/12/2017

1.040409

1.038954

28/12/2017

1.039665

1.038211

27/12/2017

1.039386

1.037933

22/12/2017

1.038291

1.036839

21/12/2017

1.038548

1.037096

20/12/2017

1.038655

1.037203

19/12/2017

1.039275

1.037822

18/12/2017

1.040288

1.038833

15/12/2017

1.040303

1.038849

14/12/2017

1.040118

1.038663

13/12/2017

1.040578

1.039123