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

20/07/2022

1.091023

1.088411

19/07/2022

1.081420

1.078831

18/07/2022

1.083519

1.080925

15/07/2022

1.078396

1.075814

14/07/2022

1.080312

1.077725

13/07/2022

1.077308

1.074729

12/07/2022

1.076566

1.073988

11/07/2022

1.079660

1.077075

08/07/2022

1.084489

1.081892

07/07/2022

1.083125

1.080532

06/07/2022

1.080325

1.077738

05/07/2022

1.078746

1.076163

04/07/2022

1.077859

1.075278

01/07/2022

1.072278

1.069711

30/06/2022

1.190645

1.187794

29/06/2022

1.201326

1.198450

28/06/2022

1.210939

1.208040

27/06/2022

1.209742

1.206846

24/06/2022

1.199516

1.196644

23/06/2022

1.188172

1.185327

22/06/2022

1.183940

1.181105

21/06/2022

1.183936

1.181101

20/06/2022

1.176586

1.173769

17/06/2022

1.177354

1.174535

16/06/2022

1.182624

1.179792

15/06/2022

1.188325

1.185480

14/06/2022

1.195795

1.192932

10/06/2022

1.221332

1.218408

09/06/2022

1.233408

1.230455

08/06/2022

1.243022

1.240046