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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

19/01/2026

1.009400

1.006983

16/01/2026

1.010121

1.007703

15/01/2026

1.011468

1.009046

14/01/2026

1.011066

1.008645

13/01/2026

1.010440

1.008021

12/01/2026

1.010452

1.008033

09/01/2026

1.010441

1.008022

08/01/2026

1.009963

1.007545

07/01/2026

1.009072

1.006656

06/01/2026

1.007478

1.005066

05/01/2026

1.007342

1.004930

02/01/2026

1.005231

1.002824

31/12/2025

1.011993

1.009570

30/12/2025

1.012074

1.009651

29/12/2025

1.012167

1.009744

24/12/2025

1.011402

1.008980

23/12/2025

1.010435

1.008016

22/12/2025

1.009038

1.006622

19/12/2025

1.010203

1.007784

18/12/2025

1.011215

1.008794

17/12/2025

1.010089

1.007671

16/12/2025

1.010275

1.007856

15/12/2025

1.009800

1.007382

12/12/2025

1.008787

1.006372

11/12/2025

1.009755

1.007337

10/12/2025

1.007306

1.004894

09/12/2025

1.007901

1.005488

08/12/2025

1.009721

1.007303

05/12/2025

1.011415

1.008993

04/12/2025

1.011834

1.009411