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

14/02/2017

1.225710

1.222532

13/02/2017

1.224320

1.221145

10/02/2017

1.220304

1.217139

09/02/2017

1.218775

1.215614

08/02/2017

1.214644

1.211494

07/02/2017

1.211894

1.208751

06/02/2017

1.211428

1.208287

03/02/2017

1.210902

1.207762

02/02/2017

1.209846

1.206708

01/02/2017

1.215193

1.212041

31/01/2017

1.212934

1.209789

30/01/2017

1.215389

1.212237

27/01/2017

1.219711

1.216548

25/01/2017

1.218950

1.215789

24/01/2017

1.214882

1.211731

23/01/2017

1.211185

1.208044

20/01/2017

1.214333

1.211184

19/01/2017

1.215266

1.212114

18/01/2017

1.216127

1.212974

17/01/2017

1.216014

1.212860

16/01/2017

1.220673

1.217507

13/01/2017

1.219892

1.216728

12/01/2017

1.220997

1.217830

11/01/2017

1.225448

1.222270

10/01/2017

1.224927

1.221750

09/01/2017

1.228114

1.224929

06/01/2017

1.228613

1.225427

05/01/2017

1.225816

1.222637

04/01/2017

1.226375

1.223194

03/01/2017

1.226524

1.223344