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

30/10/2017

1.251879

1.248632

27/10/2017

1.252330

1.249083

26/10/2017

1.250066

1.246824

25/10/2017

1.248049

1.244813

24/10/2017

1.244845

1.241617

23/10/2017

1.242722

1.239500

20/10/2017

1.244606

1.241378

19/10/2017

1.241616

1.238396

18/10/2017

1.243417

1.240192

17/10/2017

1.242509

1.239287

16/10/2017

1.240009

1.236793

13/10/2017

1.237288

1.234080

12/10/2017

1.238415

1.235204

11/10/2017

1.239568

1.236353

10/10/2017

1.236045

1.232840

09/10/2017

1.236102

1.232897

06/10/2017

1.235135

1.231932

05/10/2017

1.231585

1.228391

04/10/2017

1.228184

1.224999

03/10/2017

1.231596

1.228403

30/09/2017

1.230356

1.227165

29/09/2017

1.230356

1.227165

28/09/2017

1.227825

1.224641

27/09/2017

1.225518

1.222339

26/09/2017

1.224598

1.221423

25/09/2017

1.222149

1.218980

22/09/2017

1.222950

1.219779

21/09/2017

1.223157

1.219985

20/09/2017

1.221760

1.218591

19/09/2017

1.224347

1.221172