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

Diversified Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

05/06/2024

1.212263

1.209843

04/06/2024

1.205211

1.202805

03/06/2024

1.203871

1.201468

31/05/2024

1.201656

1.199257

30/05/2024

1.197153

1.194763

29/05/2024

1.199208

1.196814

28/05/2024

1.205148

1.202743

27/05/2024

1.208020

1.205609

24/05/2024

1.207233

1.204823

23/05/2024

1.209338

1.206924

22/05/2024

1.212383

1.209963

21/05/2024

1.211969

1.209550

20/05/2024

1.211947

1.209528

17/05/2024

1.210012

1.207597

16/05/2024

1.214251

1.211827

15/05/2024

1.209878

1.207463

14/05/2024

1.206827

1.204418

13/05/2024

1.206441

1.204033

10/05/2024

1.207167

1.204757

09/05/2024

1.205811

1.203404

08/05/2024

1.208478

1.206066

07/05/2024

1.205740

1.203333

06/05/2024

1.198531

1.196139

03/05/2024

1.195286

1.192900

02/05/2024

1.193331

1.190949

01/05/2024

1.190983

1.188606

30/04/2024

1.194828

1.192443

29/04/2024

1.193770

1.191387

26/04/2024

1.191149

1.188771

24/04/2024

1.196316

1.193928