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

23/06/2025

2.003468

1.999070

20/06/2025

1.984644

1.980287

19/06/2025

1.991759

1.987387

18/06/2025

1.979456

1.975111

17/06/2025

1.990457

1.986088

16/06/2025

1.997949

1.993563

13/06/2025

1.991049

1.986678

12/06/2025

2.010917

2.006503

11/06/2025

2.007485

2.003078

10/06/2025

2.008084

2.003676

06/06/2025

2.009475

2.005064

05/06/2025

1.985399

1.981041

04/06/2025

1.992623

1.988249

03/06/2025

1.991299

1.986928

02/06/2025

1.976726

1.972387

30/05/2025

1.989909

1.985541

29/05/2025

1.988602

1.984237

28/05/2025

1.988095

1.983731

27/05/2025

1.995438

1.991058

26/05/2025

1.951651

1.947367

23/05/2025

1.954166

1.949876

22/05/2025

1.979376

1.975031

21/05/2025

1.972568

1.968238

20/05/2025

2.009419

2.005008

19/05/2025

1.991386

1.987015

16/05/2025

2.002915

1.998518

15/05/2025

1.990916

1.986546

14/05/2025

1.968740

1.964418

13/05/2025

1.969125

1.964802

12/05/2025

1.990253

1.985884