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

12/03/2021

1.034376

1.032310

11/03/2021

1.036712

1.034641

10/03/2021

1.033680

1.031615

09/03/2021

1.030349

1.028290

08/03/2021

1.030625

1.028566

05/03/2021

1.027314

1.025262

04/03/2021

1.030710

1.028651

03/03/2021

1.035974

1.033904

02/03/2021

1.034390

1.032323

01/03/2021

1.036195

1.034125

28/02/2021

1.025068

1.023020

26/02/2021

1.025013

1.022965

25/02/2021

1.034110

1.032044

24/02/2021

1.040695

1.038616

23/02/2021

1.043561

1.041476

22/02/2021

1.041617

1.039536

19/02/2021

1.049582

1.047485

18/02/2021

1.052394

1.050291

17/02/2021

1.050411

1.048312

16/02/2021

1.053447

1.051342

15/02/2021

1.053380

1.051275

12/02/2021

1.057691

1.055578

11/02/2021

1.058595

1.056480

10/02/2021

1.057329

1.055216

09/02/2021

1.056548

1.054437

08/02/2021

1.054665

1.052558

05/02/2021

1.057590

1.055477

04/02/2021

1.055929

1.053820

03/02/2021

1.058247

1.056132

02/02/2021

1.058835

1.056719

Preproduction: 20241113.2 - 17.0.1+1254d9d36ff8a15a8e363672a459ef7ed9e47638