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Unit Prices

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

05/08/2025

1.013633

1.011206

01/08/2025

1.010336

1.007917

31/07/2025

1.008728

1.006313

30/07/2025

1.008418

1.006004

29/07/2025

1.007916

1.005503

28/07/2025

1.006524

1.004114

25/07/2025

1.005970

1.003561

24/07/2025

1.005790

1.003382

23/07/2025

1.007749

1.005336

22/07/2025

1.008728

1.006313

21/07/2025

1.007505

1.005093

18/07/2025

1.005252

1.002845

17/07/2025

1.004806

1.002400

16/07/2025

1.003741

1.001338

15/07/2025

1.002949

1.000548

14/07/2025

1.003888

1.001484

11/07/2025

1.004710

1.002304

10/07/2025

1.006874

1.004463

09/07/2025

1.006004

1.003595

08/07/2025

1.006045

1.003636

07/07/2025

1.008819

1.006404

04/07/2025

1.010057

1.007639

03/07/2025

1.010027

1.007609

02/07/2025

1.010376

1.007957

01/07/2025

1.012005

1.009582

30/06/2025

1.011171

1.008750

27/06/2025

1.010806

1.008386

26/06/2025

1.011546

1.009124

25/06/2025

1.010240

1.007821

24/06/2025

1.009625

1.007208