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Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

16/07/2026

0.951580

0.949302

15/07/2026

0.952035

0.949756

14/07/2026

0.951140

0.948863

13/07/2026

0.951195

0.948918

10/07/2026

0.953061

0.950779

09/07/2026

0.952241

0.949961

08/07/2026

0.950967

0.948690

07/07/2026

0.954297

0.952012

06/07/2026

0.956196

0.953907

03/07/2026

0.955615

0.953327

02/07/2026

0.955252

0.952965

01/07/2026

0.955707

0.953419

30/06/2026

1.000082

0.997688

29/06/2026

1.000823

0.998427

26/06/2026

1.001000

0.998603

25/06/2026

1.000472

0.998077

24/06/2026

0.999223

0.996831

23/06/2026

0.996975

0.994588

22/06/2026

0.995419

0.993036

19/06/2026

0.995582

0.993198

18/06/2026

0.997287

0.994899

17/06/2026

0.997664

0.995275

16/06/2026

0.996889

0.994502

15/06/2026

0.996298

0.993913

12/06/2026

0.994169

0.991789

11/06/2026

0.991348

0.988974

10/06/2026

0.989209

0.986841

09/06/2026

0.989128

0.986760

05/06/2026

0.988943

0.986575

04/06/2026

0.990632

0.988260