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

31/03/2023

0.951842

0.949560

30/03/2023

0.949059

0.946783

29/03/2023

0.951904

0.949622

28/03/2023

0.951076

0.948796

27/03/2023

0.955613

0.953323

24/03/2023

0.954209

0.951921

23/03/2023

0.950771

0.948491

22/03/2023

0.947343

0.945073

21/03/2023

0.955203

0.952913

20/03/2023

0.953294

0.951008

17/03/2023

0.945198

0.942932

16/03/2023

0.948574

0.946300

15/03/2023

0.943087

0.940827

14/03/2023

0.942737

0.940477

13/03/2023

0.940995

0.938739

10/03/2023

0.938886

0.936636

09/03/2023

0.933705

0.931467

08/03/2023

0.932268

0.930034

07/03/2023

0.935174

0.932932

06/03/2023

0.930489

0.928259

03/03/2023

0.924322

0.922106

02/03/2023

0.925549

0.923331

01/03/2023

0.928713

0.926487

28/02/2023

0.925220

0.923002

27/02/2023

0.923941

0.921727

24/02/2023

0.926143

0.923923

23/02/2023

0.923635

0.921421

22/02/2023

0.924438

0.922222

21/02/2023

0.926256

0.924036

20/02/2023

0.926454

0.924234