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

28/08/2024

0.897000

0.895210

27/08/2024

0.898748

0.896954

26/08/2024

0.898364

0.896571

23/08/2024

0.897015

0.895225

22/08/2024

0.896711

0.894921

21/08/2024

0.895990

0.894202

20/08/2024

0.893245

0.891462

19/08/2024

0.895223

0.893436

16/08/2024

0.896654

0.894864

15/08/2024

0.893652

0.891868

14/08/2024

0.890322

0.888545

13/08/2024

0.887488

0.885717

12/08/2024

0.883903

0.882139

09/08/2024

0.884467

0.882702

08/08/2024

0.879891

0.878135

07/08/2024

0.877568

0.875816

06/08/2024

0.879801

0.878045

02/08/2024

0.892686

0.890904

01/08/2024

0.901825

0.900025

31/07/2024

0.902249

0.900448

30/07/2024

0.893480

0.891697

29/07/2024

0.894582

0.892796

26/07/2024

0.891062

0.889283

25/07/2024

0.885509

0.883742

24/07/2024

0.887266

0.885495

23/07/2024

0.892127

0.890346

22/07/2024

0.889817

0.888041

19/07/2024

0.885181

0.883414

18/07/2024

0.887141

0.885370

17/07/2024

0.892635

0.890853