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

02/08/2018

1.013248

1.011224

01/08/2018

1.015021

1.012993

31/07/2018

1.016612

1.014581

30/07/2018

1.016661

1.014630

27/07/2018

1.016814

1.014783

26/07/2018

1.014755

1.012728

25/07/2018

1.014429

1.012402

24/07/2018

1.012358

1.010335

23/07/2018

1.014075

1.012049

20/07/2018

1.016218

1.014188

19/07/2018

1.014404

1.012377

18/07/2018

1.015522

1.013493

17/07/2018

1.014577

1.012550

16/07/2018

1.015578

1.013549

13/07/2018

1.015769

1.013740

12/07/2018

1.015744

1.013714

11/07/2018

1.016180

1.014150

10/07/2018

1.014727

1.012700

09/07/2018

1.015800

1.013771

06/07/2018

1.015215

1.013187

05/07/2018

1.016525

1.014494

04/07/2018

1.016734

1.014703

03/07/2018

1.015622

1.013593

02/07/2018

1.016469

1.014438

01/07/2018

1.016469

1.014438

30/06/2018

1.023558

1.021512

29/06/2018

1.023490

1.021445

28/06/2018

1.023734

1.021689

27/06/2018

1.023193

1.021149

26/06/2018

1.022398

1.020355

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211