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

27/09/2021

1.304985

1.301341

24/09/2021

1.302929

1.299291

23/09/2021

1.307333

1.303683

22/09/2021

1.300218

1.296588

21/09/2021

1.298144

1.294520

20/09/2021

1.294446

1.290832

17/09/2021

1.309214

1.305558

16/09/2021

1.314483

1.310812

15/09/2021

1.309888

1.306231

14/09/2021

1.311244

1.307583

13/09/2021

1.308766

1.305111

10/09/2021

1.307167

1.303518

09/09/2021

1.306139

1.302492

08/09/2021

1.320056

1.316370

07/09/2021

1.320578

1.316891

06/09/2021

1.320217

1.316531

03/09/2021

1.318526

1.314845

02/09/2021

1.316607

1.312931

01/09/2021

1.316301

1.312626

31/08/2021

1.315636

1.311962

30/08/2021

1.311612

1.307950

27/08/2021

1.309424

1.305767

26/08/2021

1.309598

1.305941

25/08/2021

1.313353

1.309686

24/08/2021

1.311285

1.307624

23/08/2021

1.311349

1.307688

20/08/2021

1.308801

1.305146

19/08/2021

1.306908

1.303259

18/08/2021

1.306578

1.302930

17/08/2021

1.304458

1.300816