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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

22/11/2022

0.919579

0.917741

21/11/2022

0.918615

0.916779

18/11/2022

0.918235

0.916401

17/11/2022

0.917424

0.915590

16/11/2022

0.911672

0.909850

15/11/2022

0.910412

0.908592

14/11/2022

0.909132

0.907316

11/11/2022

0.913328

0.911504

10/11/2022

0.909904

0.908086

09/11/2022

0.903614

0.901808

08/11/2022

0.897320

0.895528

07/11/2022

0.902824

0.901020

04/11/2022

0.904286

0.902480

03/11/2022

0.900919

0.899119

02/11/2022

0.904661

0.902853

01/11/2022

0.907618

0.905804

31/10/2022

0.908099

0.906285

28/10/2022

0.909069

0.907253

27/10/2022

0.904694

0.902886

26/10/2022

0.901285

0.899485

25/10/2022

0.894717

0.892929

24/10/2022

0.890786

0.889006

21/10/2022

0.889354

0.887578

20/10/2022

0.895480

0.893690

19/10/2022

0.900739

0.898939

18/10/2022

0.902435

0.900631

17/10/2022

0.898464

0.896668

14/10/2022

0.898991

0.897195

13/10/2022

0.900077

0.898279

12/10/2022

0.902155

0.900353