What can we help you find?
Search by Topic

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

12/12/2023

0.962763

0.960841

11/12/2023

0.961385

0.959466

08/12/2023

0.962753

0.960831

07/12/2023

0.964348

0.962423

06/12/2023

0.965271

0.963344

05/12/2023

0.960739

0.958821

04/12/2023

0.957024

0.955114

01/12/2023

0.956344

0.954435

30/11/2023

0.954718

0.952812

29/11/2023

0.956908

0.954998

28/11/2023

0.951374

0.949475

27/11/2023

0.948031

0.946139

24/11/2023

0.945928

0.944040

23/11/2023

0.948466

0.946573

22/11/2023

0.949973

0.948077

21/11/2023

0.950480

0.948583

20/11/2023

0.948625

0.946732

17/11/2023

0.948644

0.946750

16/11/2023

0.946678

0.944788

15/11/2023

0.944647

0.942761

14/11/2023

0.942882

0.941000

13/11/2023

0.937743

0.935871

10/11/2023

0.938595

0.936722

09/11/2023

0.940860

0.938982

08/11/2023

0.942101

0.940221

07/11/2023

0.938606

0.936733

06/11/2023

0.936062

0.934194

03/11/2023

0.937567

0.935696

02/11/2023

0.932851

0.930989

01/11/2023

0.926228

0.924379