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

08/10/2025

1.237129

1.234660

07/10/2025

1.236848

1.234379

03/10/2025

1.239360

1.236886

02/10/2025

1.236283

1.233815

01/10/2025

1.229689

1.227235

30/09/2025

1.230297

1.227841

29/09/2025

1.231995

1.229536

26/09/2025

1.227686

1.225236

25/09/2025

1.224290

1.221846

24/09/2025

1.225383

1.222937

23/09/2025

1.230654

1.228198

22/09/2025

1.230567

1.228111

19/09/2025

1.228713

1.226260

18/09/2025

1.226160

1.223713

17/09/2025

1.224147

1.221704

16/09/2025

1.227295

1.224845

15/09/2025

1.228106

1.225655

12/09/2025

1.230414

1.227958

11/09/2025

1.227233

1.224783

10/09/2025

1.228000

1.225549

09/09/2025

1.227049

1.224600

08/09/2025

1.229745

1.227290

05/09/2025

1.232219

1.229759

04/09/2025

1.230573

1.228117

03/09/2025

1.219626

1.217192

02/09/2025

1.229182

1.226729

01/09/2025

1.232167

1.229708

31/08/2025

1.236703

1.234235

29/08/2025

1.236703

1.234235

28/08/2025

1.239325

1.236851