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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

26/08/2022

0.917033

0.915201

25/08/2022

0.912707

0.910883

24/08/2022

0.914532

0.912704

23/08/2022

0.915833

0.914003

22/08/2022

0.918958

0.917122

19/08/2022

0.924544

0.922696

18/08/2022

0.927954

0.926100

17/08/2022

0.930365

0.928507

16/08/2022

0.932261

0.930399

15/08/2022

0.925769

0.923919

12/08/2022

0.922457

0.920613

11/08/2022

0.928276

0.926422

10/08/2022

0.929835

0.927977

09/08/2022

0.932573

0.930709

08/08/2022

0.931560

0.929698

05/08/2022

0.937264

0.935392

04/08/2022

0.934639

0.932771

03/08/2022

0.937907

0.936033

02/08/2022

0.942602

0.940718

31/07/2022

0.939245

0.937369

29/07/2022

0.939245

0.937369

28/07/2022

0.931685

0.929823

27/07/2022

0.929051

0.927195

26/07/2022

0.923950

0.922104

25/07/2022

0.923280

0.921436

22/07/2022

0.919129

0.917293

21/07/2022

0.913325

0.911501

20/07/2022

0.914169

0.912343

19/07/2022

0.915876

0.914046

18/07/2022

0.919342

0.917506