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Unit Prices

Perpetual High Grade Floating Rate Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

28/03/2025

1.064309

1.063245

27/03/2025

1.064188

1.063124

26/03/2025

1.064540

1.063476

25/03/2025

1.064375

1.063311

24/03/2025

1.064226

1.063162

21/03/2025

1.063169

1.062107

20/03/2025

1.063016

1.061954

19/03/2025

1.062891

1.061829

18/03/2025

1.062732

1.061670

17/03/2025

1.062575

1.061513

14/03/2025

1.062192

1.061130

13/03/2025

1.062192

1.061130

12/03/2025

1.061961

1.060899

11/03/2025

1.061994

1.060932

10/03/2025

1.062002

1.060940

07/03/2025

1.061568

1.060506

06/03/2025

1.061415

1.060355

05/03/2025

1.061307

1.060247

04/03/2025

1.061176

1.060116

03/03/2025

1.061086

1.060026

28/02/2025

1.060644

1.059584

27/02/2025

1.060489

1.059429

26/02/2025

1.060246

1.059186

25/02/2025

1.060103

1.059043

24/02/2025

1.059786

1.058726

21/02/2025

1.059380

1.058322

20/02/2025

1.059174

1.058116

19/02/2025

1.058966

1.057908

18/02/2025

1.058730

1.057672

17/02/2025

1.058517

1.057459