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

05/08/2021

1.278877

1.275815

04/08/2021

1.277508

1.274449

03/08/2021

1.277704

1.274644

31/07/2021

1.274166

1.271116

30/07/2021

1.274166

1.271116

29/07/2021

1.273253

1.270204

28/07/2021

1.272902

1.269855

27/07/2021

1.269270

1.266231

26/07/2021

1.270649

1.267607

23/07/2021

1.273479

1.270430

22/07/2021

1.267919

1.264883

21/07/2021

1.266023

1.262992

20/07/2021

1.261150

1.258130

19/07/2021

1.256810

1.253801

16/07/2021

1.263238

1.260213

15/07/2021

1.263252

1.260227

14/07/2021

1.263335

1.260310

13/07/2021

1.262967

1.259943

12/07/2021

1.262347

1.259324

09/07/2021

1.259078

1.256064

08/07/2021

1.260854

1.257835

07/07/2021

1.261955

1.258933

06/07/2021

1.257011

1.254001

05/07/2021

1.258687

1.255674

02/07/2021

1.261291

1.258271

01/07/2021

1.258694

1.255680

30/06/2021

1.353882

1.350641

29/06/2021

1.352440

1.349202

28/06/2021

1.348373

1.345145

25/06/2021

1.347753

1.344526