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

12/12/2017

1.280657

1.277336

11/12/2017

1.279847

1.276528

08/12/2017

1.279670

1.276351

07/12/2017

1.275988

1.272679

06/12/2017

1.270932

1.267636

05/12/2017

1.270011

1.266718

04/12/2017

1.272114

1.268815

01/12/2017

1.273141

1.269839

30/11/2017

1.274118

1.270814

29/11/2017

1.274183

1.270879

28/11/2017

1.273150

1.269849

27/11/2017

1.270279

1.266985

24/11/2017

1.270737

1.267441

23/11/2017

1.269543

1.266251

22/11/2017

1.270915

1.267619

21/11/2017

1.269314

1.266023

20/11/2017

1.267356

1.264069

17/11/2017

1.267854

1.264566

16/11/2017

1.264763

1.261483

15/11/2017

1.261702

1.258430

14/11/2017

1.263140

1.259864

13/11/2017

1.265092

1.261811

10/11/2017

1.263519

1.260242

09/11/2017

1.264340

1.261061

08/11/2017

1.263320

1.260044

07/11/2017

1.263824

1.260546

06/11/2017

1.259977

1.256710

03/11/2017

1.259119

1.255854

02/11/2017

1.253215

1.249965

01/11/2017

1.255847

1.252590