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

21/04/2022

1.244923

1.242438

20/04/2022

1.244216

1.241733

19/04/2022

1.246227

1.243740

14/04/2022

1.240890

1.238413

13/04/2022

1.241188

1.238711

12/04/2022

1.231994

1.229535

11/04/2022

1.240085

1.237610

08/04/2022

1.243296

1.240814

07/04/2022

1.240092

1.237617

06/04/2022

1.237020

1.234551

05/04/2022

1.239222

1.236749

04/04/2022

1.247406

1.244916

01/04/2022

1.247395

1.244905

31/03/2022

1.249442

1.246948

30/03/2022

1.255993

1.253486

29/03/2022

1.256625

1.254117

28/03/2022

1.246209

1.243722

25/03/2022

1.244314

1.241830

24/03/2022

1.242571

1.240091

23/03/2022

1.240121

1.237646

22/03/2022

1.248073

1.245582

21/03/2022

1.245131

1.242646

18/03/2022

1.249241

1.246748

17/03/2022

1.244694

1.242210

16/03/2022

1.242912

1.240431

15/03/2022

1.229791

1.227336

14/03/2022

1.224692

1.222248

11/03/2022

1.217493

1.215063

10/03/2022

1.223060

1.220619

09/03/2022

1.221978

1.219539