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

17/04/2019

1.040956

1.039501

16/04/2019

1.041064

1.039608

15/04/2019

1.041032

1.039576

12/04/2019

1.041388

1.039932

11/04/2019

1.041810

1.040353

10/04/2019

1.041689

1.040233

09/04/2019

1.041007

1.039552

08/04/2019

1.040834

1.039379

05/04/2019

1.040267

1.038812

04/04/2019

1.040003

1.038549

03/04/2019

1.040437

1.038983

02/04/2019

1.040995

1.039540

01/04/2019

1.040605

1.039150

31/03/2019

1.047534

1.046070

29/03/2019

1.047534

1.046070

28/03/2019

1.047978

1.046513

27/03/2019

1.047584

1.046120

26/03/2019

1.046518

1.045055

25/03/2019

1.047019

1.045556

22/03/2019

1.046042

1.044579

21/03/2019

1.045094

1.043633

20/03/2019

1.044171

1.042711

19/03/2019

1.043527

1.042068

18/03/2019

1.042851

1.041393

15/03/2019

1.042404

1.040946

14/03/2019

1.042258

1.040801

13/03/2019

1.041744

1.040287

12/03/2019

1.040657

1.039202

11/03/2019

1.039922

1.038468

08/03/2019

1.039694

1.038240