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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

22/05/2025

0.993628

0.991249

21/05/2025

0.993346

0.990968

20/05/2025

0.996190

0.993805

19/05/2025

0.994609

0.992228

16/05/2025

0.995900

0.993516

15/05/2025

0.993679

0.991300

14/05/2025

0.992968

0.990591

13/05/2025

0.994636

0.992255

12/05/2025

0.996140

0.993755

09/05/2025

0.999022

0.996630

08/05/2025

0.999963

0.997569

07/05/2025

1.000914

0.998518

06/05/2025

0.998558

0.996167

05/05/2025

0.998664

0.996273

02/05/2025

0.999818

0.997424

01/05/2025

1.002256

0.999856

30/04/2025

1.003426

1.001024

29/04/2025

1.002552

1.000152

28/04/2025

1.001523

0.999125

24/04/2025

0.998900

0.996508

23/04/2025

0.995947

0.993562

22/04/2025

0.995732

0.993348

17/04/2025

0.995493

0.993110

16/04/2025

0.994227

0.991847

15/04/2025

0.992591

0.990214

14/04/2025

0.990970

0.988597

11/04/2025

0.987436

0.985072

10/04/2025

0.990285

0.987914

09/04/2025

0.988341

0.985975

08/04/2025

0.994228

0.991848