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Unit Prices

Perpetual Active Fixed Interest Fund - Class A

Perpetual Investment Funds

As of Date Entry Price Exit Price

10/07/2025

0.998003

0.996208

09/07/2025

0.995678

0.993887

08/07/2025

0.998330

0.996534

07/07/2025

1.002362

1.000559

04/07/2025

1.001672

0.999870

03/07/2025

1.001559

0.999757

02/07/2025

1.002239

1.000437

01/07/2025

1.003921

1.002116

30/06/2025

1.014398

1.012573

27/06/2025

1.014649

1.012824

26/06/2025

1.015690

1.013863

25/06/2025

1.015253

1.013427

24/06/2025

1.013174

1.011352

23/06/2025

1.009839

1.008023

20/06/2025

1.010757

1.008939

19/06/2025

1.008999

1.007184

18/06/2025

1.007718

1.005905

17/06/2025

1.007479

1.005667

16/06/2025

1.007709

1.005896

13/06/2025

1.011015

1.009197

12/06/2025

1.007914

1.006101

11/06/2025

1.005402

1.003593

10/06/2025

1.006970

1.005159

06/06/2025

1.005841

1.004032

05/06/2025

1.006574

1.004763

04/06/2025

1.006761

1.004950

03/06/2025

1.007074

1.005263

02/06/2025

1.005893

1.004084

30/05/2025

1.006257

1.004448

29/05/2025

1.000373

0.998573