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

07/11/2024

0.979738

0.977782

06/11/2024

0.977919

0.975967

05/11/2024

0.980227

0.978270

04/11/2024

0.980581

0.978624

01/11/2024

0.979380

0.977425

31/10/2024

0.980604

0.978647

30/10/2024

0.981963

0.980003

29/10/2024

0.982934

0.980972

28/10/2024

0.982739

0.980777

25/10/2024

0.984934

0.982968

24/10/2024

0.985109

0.983143

23/10/2024

0.983179

0.981217

22/10/2024

0.984900

0.982934

21/10/2024

0.988214

0.986242

18/10/2024

0.990936

0.988958

17/10/2024

0.990809

0.988831

16/10/2024

0.993425

0.991442

15/10/2024

0.991408

0.989429

14/10/2024

0.988661

0.986688

11/10/2024

0.990008

0.988032

10/10/2024

0.989461

0.987486

09/10/2024

0.990466

0.988489

08/10/2024

0.991193

0.989215

04/10/2024

0.995551

0.993564

03/10/2024

0.999984

0.997988

02/10/2024

1.002361

1.000360

01/10/2024

1.003113

1.001111

30/09/2024

1.002757

1.000755

27/09/2024

1.003673

1.001670

26/09/2024

1.002861

1.000859

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8