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

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

17/02/2023

0.926214

0.923994

16/02/2023

0.928873

0.926647

15/02/2023

0.928867

0.926641

14/02/2023

0.928847

0.926621

13/02/2023

0.927205

0.924983

10/02/2023

0.929307

0.927079

09/02/2023

0.931515

0.929283

08/02/2023

0.934004

0.931766

07/02/2023

0.934469

0.932229

06/02/2023

0.940920

0.938664

03/02/2023

0.944521

0.942257

02/02/2023

0.936361

0.934117

01/02/2023

0.933764

0.931526

31/01/2023

0.934451

0.932583

30/01/2023

0.934200

0.932334

27/01/2023

0.932526

0.930662

25/01/2023

0.934325

0.932459

24/01/2023

0.937479

0.935605

23/01/2023

0.937776

0.935902

20/01/2023

0.939464

0.937586

19/01/2023

0.942204

0.940322

18/01/2023

0.931425

0.929565

17/01/2023

0.928490

0.926634

16/01/2023

0.928463

0.926607

13/01/2023

0.927932

0.926078

12/01/2023

0.927138

0.925286

11/01/2023

0.920592

0.918752

10/01/2023

0.920096

0.918258

09/01/2023

0.919478

0.917640

06/01/2023

0.914524

0.912696