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 Balanced Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

09/05/2025

0.919870

0.918034

08/05/2025

0.919134

0.917299

07/05/2025

0.914476

0.912651

06/05/2025

0.911256

0.909437

05/05/2025

0.913392

0.911569

02/05/2025

0.917086

0.915255

01/05/2025

0.913427

0.911604

30/04/2025

0.911085

0.909266

29/04/2025

0.908584

0.906770

28/04/2025

0.901573

0.899773

24/04/2025

0.899603

0.897807

23/04/2025

0.892157

0.890376

22/04/2025

0.884935

0.883169

17/04/2025

0.886224

0.884455

16/04/2025

0.883564

0.881800

15/04/2025

0.887695

0.885923

14/04/2025

0.889345

0.887570

11/04/2025

0.886834

0.885064

10/04/2025

0.884991

0.883225

09/04/2025

0.891948

0.890168

08/04/2025

0.879942

0.878186

07/04/2025

0.878461

0.876708

04/04/2025

0.891203

0.889424

03/04/2025

0.897124

0.895333

02/04/2025

0.913230

0.911407

01/04/2025

0.912790

0.910968

31/03/2025

0.913239

0.911416

28/03/2025

0.914079

0.912254

27/03/2025

0.918773

0.916939

26/03/2025

0.921523

0.919684