What can we help you find?

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

25/09/2025

1.028625

1.026572

24/09/2025

1.029276

1.027222

23/09/2025

1.031766

1.029707

22/09/2025

1.032986

1.030924

19/09/2025

1.031689

1.029630

18/09/2025

1.030213

1.028157

17/09/2025

1.026812

1.024762

16/09/2025

1.027307

1.025256

15/09/2025

1.026965

1.024915

12/09/2025

1.027076

1.025026

11/09/2025

1.026249

1.024201

10/09/2025

1.024237

1.022193

09/09/2025

1.026767

1.024718

08/09/2025

1.027782

1.025731

05/09/2025

1.027618

1.025567

04/09/2025

1.026569

1.024520

03/09/2025

1.020323

1.018286

02/09/2025

1.023936

1.021892

01/09/2025

1.026842

1.024792

31/08/2025

1.028397

1.026344

29/08/2025

1.028397

1.026344

28/08/2025

1.030130

1.028074

27/08/2025

1.031161

1.029103

26/08/2025

1.030099

1.028043

25/08/2025

1.030945

1.028887

22/08/2025

1.031560

1.029501

21/08/2025

1.031294

1.029236

20/08/2025

1.029977

1.027921

19/08/2025

1.028416

1.026363

18/08/2025

1.028812

1.026758