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

06/08/2025

1.105205

1.102559

05/08/2025

1.100449

1.097814

01/08/2025

1.085228

1.082630

31/07/2025

1.094118

1.091498

30/07/2025

1.097521

1.094893

29/07/2025

1.091280

1.088667

28/07/2025

1.086591

1.083989

25/07/2025

1.084969

1.082371

24/07/2025

1.086584

1.083982

23/07/2025

1.095981

1.093357

22/07/2025

1.095367

1.092744

21/07/2025

1.089888

1.087279

18/07/2025

1.090397

1.087786

17/07/2025

1.088014

1.085409

16/07/2025

1.077016

1.074437

15/07/2025

1.077095

1.074516

14/07/2025

1.075575

1.073000

11/07/2025

1.070359

1.067796

10/07/2025

1.078775

1.076192

09/07/2025

1.076011

1.073435

08/07/2025

1.083924

1.081329

07/07/2025

1.090981

1.088369

04/07/2025

1.093878

1.091259

03/07/2025

1.090036

1.087426

02/07/2025

1.090298

1.087688

01/07/2025

1.083201

1.080608

30/06/2025

1.158677

1.155903

27/06/2025

1.159102

1.156327

26/06/2025

1.156108

1.153340

25/06/2025

1.163655

1.160869