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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

14/09/2023

0.939542

0.937290

13/09/2023

0.938086

0.935838

12/09/2023

0.937488

0.935240

11/09/2023

0.937590

0.935342

08/09/2023

0.940258

0.938004

07/09/2023

0.937408

0.935160

06/09/2023

0.938510

0.936260

05/09/2023

0.938021

0.935773

04/09/2023

0.939390

0.937138

01/09/2023

0.942514

0.940254

31/08/2023

0.941305

0.939049

30/08/2023

0.938822

0.936572

29/08/2023

0.937226

0.934980

28/08/2023

0.935342

0.933100

25/08/2023

0.934495

0.932255

24/08/2023

0.936247

0.934003

23/08/2023

0.933209

0.930971

22/08/2023

0.929931

0.927701

21/08/2023

0.929927

0.927697

18/08/2023

0.930559

0.928329

17/08/2023

0.926849

0.924627

16/08/2023

0.931151

0.928919

15/08/2023

0.928973

0.926747

14/08/2023

0.931695

0.929461

11/08/2023

0.934917

0.932675

10/08/2023

0.937295

0.935049

09/08/2023

0.938644

0.936394

08/08/2023

0.937887

0.935639

04/08/2023

0.930337

0.928107

03/08/2023

0.933869

0.931631

Integration: 20250328.1 - develop+80c2ca4a5804064c47186cc2176d7eee45e2c3b6