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

23/06/2021

1.044540

1.042453

22/06/2021

1.043244

1.041159

21/06/2021

1.046385

1.044294

18/06/2021

1.043633

1.041548

17/06/2021

1.042346

1.040263

16/06/2021

1.047074

1.044982

15/06/2021

1.049340

1.047244

11/06/2021

1.049476

1.047380

10/06/2021

1.049558

1.047461

09/06/2021

1.045898

1.043808

08/06/2021

1.043853

1.041768

07/06/2021

1.042417

1.040334

04/06/2021

1.039956

1.037878

03/06/2021

1.040865

1.038785

02/06/2021

1.039902

1.037824

01/06/2021

1.039385

1.037308

31/05/2021

1.038445

1.036370

28/05/2021

1.039495

1.037418

27/05/2021

1.042498

1.040415

26/05/2021

1.040761

1.038681

25/05/2021

1.040335

1.038256

24/05/2021

1.039305

1.037229

21/05/2021

1.037581

1.035508

20/05/2021

1.035872

1.033803

19/05/2021

1.035460

1.033391

18/05/2021

1.035104

1.033036

17/05/2021

1.036512

1.034441

14/05/2021

1.034479

1.032412

13/05/2021

1.033654

1.031589

12/05/2021

1.035638

1.033569