What can we help you find?

Your search had no results
Other Popular Searches

Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

11/08/2020

1.056108

1.053685

10/08/2020

1.056866

1.054441

07/08/2020

1.056707

1.054282

06/08/2020

1.056343

1.053919

05/08/2020

1.055879

1.053456

04/08/2020

1.055613

1.053191

31/07/2020

1.054958

1.052537

30/07/2020

1.054409

1.051990

29/07/2020

1.054040

1.051621

28/07/2020

1.053339

1.050922

27/07/2020

1.053539

1.051121

24/07/2020

1.053525

1.051108

23/07/2020

1.053634

1.051216

22/07/2020

1.052912

1.050496

21/07/2020

1.052562

1.050147

20/07/2020

1.051160

1.048748

17/07/2020

1.050559

1.048149

16/07/2020

1.050369

1.047959

15/07/2020

1.049980

1.047571

14/07/2020

1.048952

1.046545

13/07/2020

1.048683

1.046276

10/07/2020

1.048791

1.046385

09/07/2020

1.048440

1.046034

08/07/2020

1.047998

1.045594

07/07/2020

1.047744

1.045339

06/07/2020

1.047244

1.044841

03/07/2020

1.046728

1.044326

02/07/2020

1.046801

1.043982

01/07/2020

1.045434

1.042619

30/06/2020

1.053753

1.050916

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8