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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

09/03/2022

0.980550

0.978101

08/03/2022

0.985045

0.982585

07/03/2022

0.991033

0.988558

04/03/2022

0.991185

0.988710

03/03/2022

0.991841

0.989859

02/03/2022

0.996492

0.994502

01/03/2022

0.990528

0.988548

28/02/2022

0.993227

0.991243

25/02/2022

0.988560

0.986584

24/02/2022

0.991750

0.989768

23/02/2022

0.986201

0.984231

22/02/2022

0.989194

0.987218

21/02/2022

0.988601

0.986625

18/02/2022

0.987191

0.985219

17/02/2022

0.989236

0.987260

16/02/2022

0.987585

0.985611

15/02/2022

0.989262

0.987286

14/02/2022

0.991978

0.989996

11/02/2022

0.989141

0.987165

10/02/2022

0.995526

0.993536

09/02/2022

0.995393

0.993405

08/02/2022

0.994471

0.992485

07/02/2022

1.000923

0.998923

04/02/2022

1.003546

1.001540

03/02/2022

1.008503

1.006489

02/02/2022

1.006504

1.004494

01/02/2022

1.006836

1.004824

31/01/2022

1.006440

1.004430

28/01/2022

1.003145

1.001141

27/01/2022

0.999165

0.997169