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

15/02/2021

1.053380

1.051275

12/02/2021

1.057691

1.055578

11/02/2021

1.058595

1.056480

10/02/2021

1.057329

1.055216

09/02/2021

1.056548

1.054437

08/02/2021

1.054665

1.052558

05/02/2021

1.057590

1.055477

04/02/2021

1.055929

1.053820

03/02/2021

1.058247

1.056132

02/02/2021

1.058835

1.056719

01/02/2021

1.058746

1.056631

31/01/2021

1.059488

1.057371

29/01/2021

1.059454

1.057338

28/01/2021

1.061491

1.059371

27/01/2021

1.061023

1.058903

25/01/2021

1.059536

1.057419

22/01/2021

1.058824

1.056708

21/01/2021

1.061718

1.059597

20/01/2021

1.060215

1.058097

19/01/2021

1.059661

1.057543

18/01/2021

1.060313

1.058195

15/01/2021

1.059365

1.057249

14/01/2021

1.058363

1.056248

13/01/2021

1.058131

1.056017

12/01/2021

1.056216

1.054105

11/01/2021

1.057861

1.055747

08/01/2021

1.056878

1.054766

07/01/2021

1.058954

1.056838

06/01/2021

1.059868

1.057750

05/01/2021

1.063539

1.061414