Please note: The Perpetual Institutional Cash Management Trust maintains a unit price of $1. All income distributed is interest (subject to WHT). This information is provided for the purposes of determining non-resident withholding tax under Subdivision 12A-A of Schedule 1 to the Taxation Administration Act 1953 (Cth).
| As of Date | Daily yield (annualised) |
24/09/2025 |
3.718328% |
23/09/2025 |
3.720759% |
22/09/2025 |
3.720755% |
19/09/2025 |
3.724712% |
18/09/2025 |
3.723193% |
17/09/2025 |
3.706429% |
16/09/2025 |
3.710740% |
15/09/2025 |
3.722409% |
12/09/2025 |
3.740932% |
11/09/2025 |
3.738341% |
10/09/2025 |
3.740578% |
09/09/2025 |
3.755390% |
08/09/2025 |
3.761829% |
05/09/2025 |
3.837190% |
04/09/2025 |
3.757788% |
03/09/2025 |
3.761332% |
02/09/2025 |
3.772983% |
01/09/2025 |
3.764844% |
31/08/2025 |
4.102494% |
29/08/2025 |
4.102494% |
28/08/2025 |
3.739560% |
27/08/2025 |
3.740323% |
26/08/2025 |
4.277263% |
25/08/2025 |
3.748305% |
22/08/2025 |
3.903843% |
21/08/2025 |
3.819754% |
20/08/2025 |
3.778316% |
19/08/2025 |
3.784156% |
18/08/2025 |
3.793507% |
15/08/2025 |
3.797077% |