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

08/10/2020

1.063717

1.061061

07/10/2020

1.064661

1.062002

06/10/2020

1.062605

1.059951

02/10/2020

1.064703

1.062044

01/10/2020

1.061238

1.058588

30/09/2020

1.070572

1.067899

29/09/2020

1.070875

1.068200

28/09/2020

1.070810

1.068136

25/09/2020

1.069624

1.066953

24/09/2020

1.068840

1.066171

23/09/2020

1.068474

1.065805

22/09/2020

1.067225

1.064560

21/09/2020

1.066242

1.063579

18/09/2020

1.064476

1.061817

17/09/2020

1.066579

1.063915

16/09/2020

1.065857

1.063195

15/09/2020

1.065486

1.062825

14/09/2020

1.065472

1.062811

11/09/2020

1.063244

1.060588

10/09/2020

1.062090

1.059437

09/09/2020

1.063967

1.061310

08/09/2020

1.060116

1.057468

07/09/2020

1.060544

1.057895

04/09/2020

1.064367

1.061709

03/09/2020

1.063533

1.060877

02/09/2020

1.062144

1.059491

01/09/2020

1.060155

1.057508

31/08/2020

1.059604

1.056958

28/08/2020

1.057904

1.055262

27/08/2020

1.062563

1.059909