What can we help you find?
Search by Topic

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 Balanced Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

10/05/2024

1.018463

1.016430

09/05/2024

1.016973

1.014943

08/05/2024

1.019493

1.017458

07/05/2024

1.016484

1.014455

06/05/2024

1.009639

1.007624

03/05/2024

1.006542

1.004533

02/05/2024

1.004927

1.002921

01/05/2024

1.002844

1.000842

30/04/2024

1.006902

1.004892

29/04/2024

1.005821

1.003813

26/04/2024

1.003526

1.001523

24/04/2024

1.008292

1.006279

23/04/2024

1.010061

1.008045

22/04/2024

1.006011

1.004003

19/04/2024

1.001072

0.999074

18/04/2024

1.004343

1.002338

17/04/2024

1.003812

1.001808

16/04/2024

1.006357

1.004348

15/04/2024

1.010366

1.008349

12/04/2024

1.015071

1.013045

11/04/2024

1.016953

1.014923

10/04/2024

1.018768

1.016735

09/04/2024

1.016347

1.014318

08/04/2024

1.016702

1.014673

05/04/2024

1.017346

1.015315

04/04/2024

1.014638

1.012613

03/04/2024

1.019840

1.017804

02/04/2024

1.025787

1.023740

31/03/2024

1.033650

1.031587

28/03/2024

1.033650

1.031587