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 - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

02/04/2024

0.968050

0.965730

31/03/2024

0.977682

0.975338

28/03/2024

0.977682

0.975338

27/03/2024

0.975516

0.973178

26/03/2024

0.974316

0.971980

25/03/2024

0.974878

0.972542

21/03/2024

0.970196

0.967870

20/03/2024

0.971917

0.969587

19/03/2024

0.970724

0.968398

18/03/2024

0.968687

0.966365

15/03/2024

0.967502

0.965182

14/03/2024

0.970693

0.968367

13/03/2024

0.972151

0.969821

12/03/2024

0.974934

0.972596

11/03/2024

0.974558

0.972222

07/03/2024

0.971492

0.969164

06/03/2024

0.971513

0.969185

05/03/2024

0.967816

0.965496

04/03/2024

0.967456

0.965136

01/03/2024

0.965595

0.963281

29/02/2024

0.965683

0.963369

14/02/2024

0.957532

0.955236

13/02/2024

0.961494

0.959190

12/02/2024

0.961715

0.959409

09/02/2024

0.963145

0.960837

08/02/2024

0.963940

0.961630

07/02/2024

0.964601

0.962289

06/02/2024

0.962695

0.960387

05/02/2024

0.963898

0.961588

02/02/2024

0.968868

0.966546

Preproduction: 20240826.3 - 14.0.0+521a0ca752efa95d8322280d7dc1d493bfefefed