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

Perpetual Investment Funds

As of Date Entry Price Exit Price

18/02/2019

1.042093

1.040010

15/02/2019

1.043535

1.041450

14/02/2019

1.041312

1.039231

13/02/2019

1.040999

1.038920

12/02/2019

1.042730

1.040647

11/02/2019

1.045271

1.043182

08/02/2019

1.043468

1.041383

07/02/2019

1.041092

1.039012

06/02/2019

1.039445

1.037368

05/02/2019

1.035363

1.033295

04/02/2019

1.035732

1.033662

01/02/2019

1.036627

1.034556

31/01/2019

1.034712

1.032645

30/01/2019

1.034194

1.032127

29/01/2019

1.035075

1.033007

25/01/2019

1.035399

1.033330

24/01/2019

1.032343

1.030280

23/01/2019

1.031430

1.029369

22/01/2019

1.030433

1.028374

21/01/2019

1.029958

1.027900

18/01/2019

1.029541

1.027484

17/01/2019

1.031071

1.029011

16/01/2019

1.031082

1.029022

15/01/2019

1.030172

1.028114

14/01/2019

1.030897

1.028837

11/01/2019

1.028877

1.026821

10/01/2019

1.028454

1.026399

09/01/2019

1.028085

1.026031

08/01/2019

1.029210

1.027154

07/01/2019

1.030771

1.028712