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

19/08/2025

1.231895

1.229436

18/08/2025

1.235710

1.233244

15/08/2025

1.233382

1.230920

14/08/2025

1.230585

1.228129

13/08/2025

1.225697

1.223250

12/08/2025

1.226027

1.223580

11/08/2025

1.220441

1.218005

08/08/2025

1.220403

1.217967

06/08/2025

1.224347

1.221903

05/08/2025

1.221344

1.218906

01/08/2025

1.211282

1.208864

31/07/2025

1.220814

1.218377

30/07/2025

1.222327

1.219887

29/07/2025

1.217915

1.215484

28/07/2025

1.216459

1.214031

25/07/2025

1.213643

1.211221

24/07/2025

1.212882

1.210461

23/07/2025

1.216571

1.214143

22/07/2025

1.212876

1.210455

21/07/2025

1.211046

1.208629

18/07/2025

1.215243

1.212817

17/07/2025

1.210999

1.208582

16/07/2025

1.203061

1.200660

15/07/2025

1.204948

1.202543

14/07/2025

1.201327

1.198929

11/07/2025

1.200247

1.197851

10/07/2025

1.204680

1.202275

09/07/2025

1.202652

1.200251

08/07/2025

1.206224

1.203816

07/07/2025

1.207453

1.205043