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Unit Prices

Perpetual Active Fixed Interest Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

13/03/2025

0.994720

0.992931

12/03/2025

0.994380

0.992591

11/03/2025

0.996388

0.994596

10/03/2025

0.993204

0.991418

07/03/2025

0.994464

0.992675

06/03/2025

0.990905

0.989123

05/03/2025

0.995753

0.993962

04/03/2025

0.998554

0.996758

03/03/2025

0.995920

0.994129

28/02/2025

0.997376

0.995582

27/02/2025

0.995239

0.993449

26/02/2025

0.993533

0.991746

25/02/2025

0.992221

0.990437

24/02/2025

0.990388

0.988606

21/02/2025

0.986946

0.985171

20/02/2025

0.985789

0.984016

19/02/2025

0.985857

0.984084

18/02/2025

0.986083

0.984310

17/02/2025

0.988379

0.986601

14/02/2025

0.989617

0.987837

13/02/2025

0.987394

0.985618

12/02/2025

0.987515

0.985739

11/02/2025

0.990259

0.988478

10/02/2025

0.989581

0.987801

07/02/2025

0.991234

0.989452

06/02/2025

0.992869

0.991083

05/02/2025

0.991359

0.989576

04/02/2025

0.988835

0.987057

03/02/2025

0.990152

0.988372

31/01/2025

0.987385

0.985609