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 Balanced Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

27/06/2023

1.108507

1.106294

26/06/2023

1.105480

1.103273

23/06/2023

1.105649

1.103442

22/06/2023

1.106874

1.104665

21/06/2023

1.111880

1.109661

20/06/2023

1.114720

1.112495

19/06/2023

1.109221

1.107007

16/06/2023

1.107143

1.104933

15/06/2023

1.105949

1.103742

14/06/2023

1.104010

1.101806

13/06/2023

1.105730

1.103523

09/06/2023

1.101802

1.099603

08/06/2023

1.103262

1.101060

07/06/2023

1.107327

1.105117

06/06/2023

1.109145

1.106931

05/06/2023

1.113704

1.111481

02/06/2023

1.112641

1.110420

01/06/2023

1.109742

1.107527

31/05/2023

1.109552

1.107337

30/05/2023

1.112502

1.110281

29/05/2023

1.111375

1.109157

26/05/2023

1.111517

1.109298

25/05/2023

1.107314

1.105104

24/05/2023

1.107864

1.105653

23/05/2023

1.108548

1.106335

22/05/2023

1.111791

1.109572

19/05/2023

1.109224

1.107010

18/05/2023

1.111321

1.109103

17/05/2023

1.107423

1.105213

16/05/2023

1.105245

1.103039