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

28/03/2017

1.237662

1.234452

27/03/2017

1.233335

1.230136

24/03/2017

1.233083

1.229885

23/03/2017

1.228633

1.225447

22/03/2017

1.225747

1.222568

21/03/2017

1.226838

1.223657

20/03/2017

1.229388

1.226199

17/03/2017

1.232305

1.229109

16/03/2017

1.231878

1.228684

15/03/2017

1.231736

1.228542

14/03/2017

1.229202

1.226014

13/03/2017

1.230018

1.226828

10/03/2017

1.231282

1.228089

09/03/2017

1.230792

1.227600

08/03/2017

1.229487

1.226299

07/03/2017

1.229174

1.225987

06/03/2017

1.229828

1.226638

03/03/2017

1.231555

1.228362

02/03/2017

1.232553

1.229357

01/03/2017

1.228483

1.225297

28/02/2017

1.224258

1.221083

27/02/2017

1.225928

1.222749

24/02/2017

1.225955

1.222776

23/02/2017

1.225590

1.222412

22/02/2017

1.226799

1.223618

21/02/2017

1.227009

1.223827

20/02/2017

1.225290

1.222112

17/02/2017

1.226054

1.222875

16/02/2017

1.225630

1.222452

15/02/2017

1.226340

1.223160