What can we help you find?
Search by Topic

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

Diversified Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

19/06/2015

1.144021

1.141737

18/06/2015

1.139822

1.137547

17/06/2015

1.143766

1.141483

16/06/2015

1.139612

1.137338

15/06/2015

1.139857

1.137582

12/06/2015

1.142595

1.140315

11/06/2015

1.143261

1.140979

10/06/2015

1.140480

1.138203

09/06/2015

1.139699

1.137424

05/06/2015

1.143334

1.141052

04/06/2015

1.143564

1.141281

03/06/2015

1.147326

1.145036

02/06/2015

1.151536

1.149237

01/06/2015

1.159821

1.157506

31/05/2015

1.160076

1.157760

29/05/2015

1.160076

1.157760

28/05/2015

1.158931

1.156618

27/05/2015

1.157096

1.154786

26/05/2015

1.156573

1.154264

25/05/2015

1.154993

1.152687

22/05/2015

1.152746

1.150445

21/05/2015

1.151013

1.148716

20/05/2015

1.148323

1.146031

19/05/2015

1.147661

1.145370

18/05/2015

1.148137

1.145845

15/05/2015

1.149522

1.147227

14/05/2015

1.144312

1.142028

13/05/2015

1.143466

1.141184

12/05/2015

1.142707

1.140426

11/05/2015

1.144232

1.141949