What can we help you find?

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

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

26/07/2021

1.020928

1.018890

23/07/2021

1.020640

1.018602

22/07/2021

1.020675

1.018638

21/07/2021

1.020512

1.018475

20/07/2021

1.020624

1.018587

19/07/2021

1.020084

1.018048

16/07/2021

1.019271

1.017236

15/07/2021

1.019275

1.017241

14/07/2021

1.018430

1.016397

13/07/2021

1.018203

1.016171

12/07/2021

1.018675

1.016642

09/07/2021

1.017721

1.015689

08/07/2021

1.018465

1.016432

07/07/2021

1.017547

1.015516

06/07/2021

1.016282

1.014253

05/07/2021

1.016284

1.014255

02/07/2021

1.015715

1.013687

01/07/2021

1.014876

1.012850

30/06/2021

1.062236

1.060115

29/06/2021

1.061843

1.059724

28/06/2021

1.061237

1.059119

25/06/2021

1.060548

1.058431

24/06/2021

1.060685

1.058568

23/06/2021

1.060537

1.058420

22/06/2021

1.060346

1.058229

21/06/2021

1.061078

1.058960

18/06/2021

1.060733

1.058616

17/06/2021

1.060202

1.058086

16/06/2021

1.061499

1.059380

15/06/2021

1.062668

1.060547