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

Balanced Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

24/05/2019

1.290705

1.287358

23/05/2019

1.292213

1.288862

22/05/2019

1.296387

1.293025

21/05/2019

1.296017

1.292656

20/05/2019

1.289687

1.286343

17/05/2019

1.290854

1.287506

16/05/2019

1.289991

1.286646

15/05/2019

1.284051

1.280721

14/05/2019

1.279959

1.276640

13/05/2019

1.279388

1.276071

10/05/2019

1.282800

1.279474

09/05/2019

1.281364

1.278041

08/05/2019

1.280514

1.277194

07/05/2019

1.281450

1.278127

06/05/2019

1.286850

1.283513

03/05/2019

1.290219

1.286873

02/05/2019

1.287730

1.284391

01/05/2019

1.287880

1.284540

30/04/2019

1.287477

1.284138

29/04/2019

1.287729

1.284390

26/04/2019

1.290096

1.286750

24/04/2019

1.288840

1.285497

23/04/2019

1.282556

1.279230

18/04/2019

1.275112

1.271806

17/04/2019

1.273687

1.270384

16/04/2019

1.276014

1.272705

15/04/2019

1.275611

1.272303

12/04/2019

1.276465

1.273155

11/04/2019

1.273923

1.270619

10/04/2019

1.274099

1.270795