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

15/01/2026

0.996089

0.993704

14/01/2026

0.995700

0.993316

13/01/2026

0.995093

0.992710

12/01/2026

0.995115

0.992732

09/01/2026

0.995123

0.992740

08/01/2026

0.994657

0.992276

07/01/2026

0.993787

0.991408

06/01/2026

0.992225

0.989849

05/01/2026

0.992096

0.989721

02/01/2026

0.990036

0.987666

31/12/2025

0.996120

0.993735

30/12/2025

0.996206

0.993821

29/12/2025

0.996305

0.993920

24/12/2025

0.995585

0.993201

23/12/2025

0.994640

0.992259

22/12/2025

0.993272

0.990894

19/12/2025

0.994439

0.992058

18/12/2025

0.995443

0.993060

17/12/2025

0.994342

0.991961

16/12/2025

0.994533

0.992152

15/12/2025

0.994072

0.991692

12/12/2025

0.993095

0.990717

11/12/2025

0.994055

0.991675

10/12/2025

0.991655

0.989281

09/12/2025

0.992248

0.989872

08/12/2025

0.994048

0.991668

05/12/2025

0.995736

0.993352

04/12/2025

0.996156

0.993771

03/12/2025

0.997598

0.995209

02/12/2025

0.997282

0.994894