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Unit Prices

Perpetual Active Fixed Interest Fund

Perpetual Investment Funds

As of Date Entry Price Exit Price

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

30/01/2025

0.988896

0.987118

29/01/2025

0.988600

0.986822

28/01/2025

0.985873

0.984100

24/01/2025

0.982786

0.981018

23/01/2025

0.982809

0.981041

22/01/2025

0.983146

0.981378

21/01/2025

0.984725

0.982954

20/01/2025

0.981469

0.979703

17/01/2025

0.979956

0.978194

16/01/2025

0.980332

0.978568

15/01/2025

0.974797

0.973044

14/01/2025

0.974963

0.973210

13/01/2025

0.973967

0.972215

10/01/2025

0.978211

0.976452

09/01/2025

0.980408

0.978644

08/01/2025

0.979439

0.977677

07/01/2025

0.980041

0.978279

06/01/2025

0.980910

0.979146

03/01/2025

0.984352

0.982581

02/01/2025

0.982341

0.980574

31/12/2024

0.992121

0.990337