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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

21/11/2023

0.934405

0.932165

20/11/2023

0.931691

0.929457

17/11/2023

0.933197

0.930961

16/11/2023

0.929320

0.927092

15/11/2023

0.929354

0.927126

14/11/2023

0.923691

0.921477

13/11/2023

0.923380

0.921166

10/11/2023

0.925386

0.923168

09/11/2023

0.929107

0.926879

08/11/2023

0.927263

0.925041

07/11/2023

0.922324

0.920114

06/11/2023

0.920884

0.918676

03/11/2023

0.920235

0.918029

02/11/2023

0.917317

0.915119

01/11/2023

0.910624

0.908442

31/10/2023

0.910996

0.908812

30/10/2023

0.912910

0.910722

27/10/2023

0.914985

0.912791

26/10/2023

0.913365

0.911175

25/10/2023

0.919224

0.917020

24/10/2023

0.921064

0.918856

23/10/2023

0.917147

0.914949

20/10/2023

0.918267

0.916065

19/10/2023

0.916733

0.914535

18/10/2023

0.921495

0.919287

17/10/2023

0.925990

0.923770

16/10/2023

0.930566

0.928336

13/10/2023

0.929800

0.927572

12/10/2023

0.932607

0.930371

11/10/2023

0.930191

0.927961