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

02/06/2022

1.216510

1.214082

01/06/2022

1.215490

1.213064

31/05/2022

1.220143

1.217708

30/05/2022

1.224771

1.222326

27/05/2022

1.221208

1.218770

26/05/2022

1.214369

1.211945

25/05/2022

1.208530

1.206118

24/05/2022

1.204530

1.202126

23/05/2022

1.208163

1.205751

20/05/2022

1.206858

1.204449

19/05/2022

1.202382

1.199982

18/05/2022

1.208988

1.206575

17/05/2022

1.216842

1.214413

16/05/2022

1.213822

1.211399

13/05/2022

1.214881

1.212456

12/05/2022

1.202073

1.199674

11/05/2022

1.199853

1.197458

10/05/2022

1.204597

1.202193

09/05/2022

1.202648

1.200248

06/05/2022

1.213971

1.211548

05/05/2022

1.225330

1.222884

04/05/2022

1.233895

1.231432

03/05/2022

1.231779

1.229320

02/05/2022

1.234749

1.232284

30/04/2022

1.236383

1.233915

29/04/2022

1.236383

1.233915

28/04/2022

1.242426

1.239946

27/04/2022

1.231168

1.228711

26/04/2022

1.231092

1.228635

22/04/2022

1.239852

1.237377