What can we help you find?
Search by Topic

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

07/12/2015

1.021396

1.019355

04/12/2015

1.021074

1.019034

03/12/2015

1.025041

1.022993

02/12/2015

1.026715

1.024664

01/12/2015

1.025267

1.023219

30/11/2015

1.024725

1.022678

27/11/2015

1.024997

1.022949

26/11/2015

1.025950

1.023900

25/11/2015

1.023395

1.021350

24/11/2015

1.021434

1.019393

23/11/2015

1.020393

1.018354

20/11/2015

1.021416

1.019375

19/11/2015

1.021171

1.019131

18/11/2015

1.022290

1.020247

17/11/2015

1.021168

1.019127

16/11/2015

1.022068

1.020026

13/11/2015

1.019153

1.017117

12/11/2015

1.019468

1.017431

11/11/2015

1.023374

1.021329

10/11/2015

1.022456

1.020413

09/11/2015

1.021662

1.019621

06/11/2015

1.026474

1.024423

05/11/2015

1.026721

1.024669

04/11/2015

1.028819

1.026764

03/11/2015

1.030397

1.028338

02/11/2015

1.033338

1.031273

31/10/2015

1.033766

1.031700

30/10/2015

1.033693

1.031627

29/10/2015

1.034462

1.032395

28/10/2015

1.034895

1.032827