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

11/05/2017

1.024071

1.022025

10/05/2017

1.023459

1.021414

09/05/2017

1.021914

1.019872

08/05/2017

1.022229

1.020186

05/05/2017

1.022826

1.020783

04/05/2017

1.022811

1.020767

03/05/2017

1.025043

1.022995

02/05/2017

1.024344

1.022297

01/05/2017

1.025751

1.023702

30/04/2017

1.025760

1.023710

28/04/2017

1.025630

1.023581

27/04/2017

1.024003

1.021957

26/04/2017

1.023064

1.021020

24/04/2017

1.024439

1.022392

21/04/2017

1.026249

1.024198

20/04/2017

1.027657

1.025603

19/04/2017

1.029908

1.027850

18/04/2017

1.028532

1.026477

13/04/2017

1.028746

1.026690

12/04/2017

1.027256

1.025204

11/04/2017

1.026015

1.023965

10/04/2017

1.024386

1.022339

07/04/2017

1.025118

1.023070

06/04/2017

1.023550

1.021505

05/04/2017

1.022157

1.020115

04/04/2017

1.021897

1.019855

03/04/2017

1.018635

1.016600

31/03/2017

1.017459

1.015426

30/03/2017

1.017705

1.015672

29/03/2017

1.015995

1.013965