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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

25/02/2025

0.989007

0.987033

24/02/2025

0.986495

0.984526

21/02/2025

0.984563

0.982598

20/02/2025

0.982091

0.980131

19/02/2025

0.981556

0.979597

18/02/2025

0.982212

0.980251

17/02/2025

0.984472

0.982507

14/02/2025

0.984890

0.982924

13/02/2025

0.983256

0.981293

12/02/2025

0.980551

0.978594

11/02/2025

0.984118

0.982154

10/02/2025

0.985288

0.983321

07/02/2025

0.985822

0.983854

06/02/2025

0.987710

0.985739

05/02/2025

0.987062

0.985092

04/02/2025

0.983767

0.981803

03/02/2025

0.983856

0.981892

31/01/2025

0.981502

0.979543

30/01/2025

0.982275

0.980314

29/01/2025

0.980806

0.978848

28/01/2025

0.979790

0.977834

24/01/2025

0.976685

0.974736

23/01/2025

0.976517

0.974568

22/01/2025

0.977104

0.975154

21/01/2025

0.977751

0.975799

20/01/2025

0.975231

0.973284

17/01/2025

0.974951

0.973005

16/01/2025

0.974571

0.972626

15/01/2025

0.971163

0.969225

14/01/2025

0.966707

0.964777