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

30/03/2017

1.013365

1.011340

29/03/2017

1.011664

1.009643

28/03/2017

1.012534

1.010511

27/03/2017

1.011730

1.009708

24/03/2017

1.009597

1.007580

23/03/2017

1.009702

1.007685

22/03/2017

1.009012

1.006996

21/03/2017

1.006633

1.004622

20/03/2017

1.005970

1.003960

17/03/2017

1.003871

1.001865

16/03/2017

1.005306

1.003297

15/03/2017

1.000745

0.998746

14/03/2017

1.000553

0.998554

13/03/2017

1.000146

0.998148

10/03/2017

0.998218

0.996223

09/03/2017

0.999723

0.997726

08/03/2017

1.001901

0.999899

07/03/2017

1.003302

1.001300

06/03/2017

1.003803

1.001801

03/03/2017

1.003502

1.001500

02/03/2017

1.003903

1.001901

01/03/2017

1.003002

1.001000

28/02/2017

1.006005

1.004003

27/02/2017

1.006205

1.004203

24/02/2017

1.005004

1.003002

23/02/2017

1.002602

1.000600

22/02/2017

0.999999

0.997997

21/02/2017

1.001300

0.999298

20/02/2017

1.001500

0.999498

17/02/2017

1.000800

0.998798