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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

14/02/2019

1.036732

1.034661

13/02/2019

1.036425

1.034354

12/02/2019

1.038149

1.036075

11/02/2019

1.040682

1.038602

08/02/2019

1.038895

1.036820

07/02/2019

1.036641

1.034570

06/02/2019

1.035004

1.032936

05/02/2019

1.030941

1.028882

04/02/2019

1.031311

1.029250

01/02/2019

1.032210

1.030147

31/01/2019

1.030306

1.028248

30/01/2019

1.029793

1.027735

29/01/2019

1.030672

1.028613

25/01/2019

1.031004

1.028944

24/01/2019

1.027962

1.025908

23/01/2019

1.027055

1.025003

22/01/2019

1.026064

1.024014

21/01/2019

1.025594

1.023545

18/01/2019

1.025187

1.023139

17/01/2019

1.026713

1.024662

16/01/2019

1.026726

1.024675

15/01/2019

1.025821

1.023772

14/01/2019

1.026546

1.024494

11/01/2019

1.024587

1.022540

10/01/2019

1.024168

1.022122

09/01/2019

1.023802

1.021757

08/01/2019

1.024927

1.022879

07/01/2019

1.026486

1.024435

04/01/2019

1.027720

1.025667

03/01/2019

1.030513

1.028454