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

Fund Page

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

21/02/2025

0.971129

0.969191

20/02/2025

0.968707

0.966773

19/02/2025

0.968193

0.966260

18/02/2025

0.968859

0.966925

17/02/2025

0.971103

0.969165

14/02/2025

0.971558

0.969619

13/02/2025

0.969960

0.968024

12/02/2025

0.967312

0.965381

11/02/2025

0.970846

0.968908

10/02/2025

0.972015

0.970075

07/02/2025

0.972584

0.970643

06/02/2025

0.974463

0.972518

05/02/2025

0.973839

0.971895

04/02/2025

0.970601

0.968664

03/02/2025

0.970691

0.968753

31/01/2025

0.968433

0.966500

30/01/2025

0.969210

0.967275

29/01/2025

0.967776

0.965844

28/01/2025

0.966787

0.964857

24/01/2025

0.963779

0.961855

23/01/2025

0.963626

0.961703

22/01/2025

0.964220

0.962295

21/01/2025

0.964872

0.962946

20/01/2025

0.962397

0.960476

17/01/2025

0.962162

0.960242

16/01/2025

0.961800

0.959880

15/01/2025

0.958433

0.956520

14/01/2025

0.954048

0.952144

13/01/2025

0.954118

0.952214

10/01/2025

0.956899

0.954989