What can we help you find?
Search by Topic

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

11/10/2022

0.898418

0.896622

10/10/2022

0.905587

0.903777

07/10/2022

0.906552

0.904740

06/10/2022

0.909933

0.908115

05/10/2022

0.916158

0.914328

04/10/2022

0.912135

0.910313

30/09/2022

0.904406

0.902598

29/09/2022

0.902012

0.900210

28/09/2022

0.896307

0.894517

27/09/2022

0.899593

0.897795

26/09/2022

0.901017

0.899217

23/09/2022

0.905405

0.903596

21/09/2022

0.917798

0.915964

20/09/2022

0.918793

0.916957

19/09/2022

0.916148

0.914318

16/09/2022

0.913805

0.911979

15/09/2022

0.915720

0.913890

14/09/2022

0.918091

0.916257

13/09/2022

0.921671

0.919829

12/09/2022

0.918885

0.917049

09/09/2022

0.921865

0.920023

08/09/2022

0.921394

0.919554

07/09/2022

0.914333

0.912507

06/09/2022

0.916326

0.914496

05/09/2022

0.915690

0.913860

02/09/2022

0.915629

0.913799

01/09/2022

0.913514

0.911688

31/08/2022

0.917693

0.915859

30/08/2022

0.916514

0.914682

29/08/2022

0.912994

0.911170