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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

19/05/2016

1.041759

1.040302

18/05/2016

1.042781

1.041323

17/05/2016

1.042053

1.040596

16/05/2016

1.043549

1.042090

13/05/2016

1.042209

1.040752

12/05/2016

1.042019

1.040562

11/05/2016

1.041378

1.039922

10/05/2016

1.041656

1.040200

09/05/2016

1.041427

1.039971

06/05/2016

1.041523

1.040067

05/05/2016

1.039036

1.037583

04/05/2016

1.038544

1.037092

03/05/2016

1.037757

1.036306

02/05/2016

1.035957

1.034508

30/04/2016

1.035724

1.034276

29/04/2016

1.035724

1.034276

28/04/2016

1.035335

1.033887

27/04/2016

1.033658

1.032213

26/04/2016

1.032059

1.030616

22/04/2016

1.031804

1.030361

21/04/2016

1.032412

1.030969

20/04/2016

1.032831

1.031387

19/04/2016

1.032048

1.030605

18/04/2016

1.033148

1.031704

15/04/2016

1.031563

1.030120

14/04/2016

1.032214

1.030771

13/04/2016

1.032321

1.030878

12/04/2016

1.033334

1.031889

11/04/2016

1.034138

1.032693

08/04/2016

1.033962

1.032516

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45