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

09/10/2018

1.253260

1.250010

08/10/2018

1.256590

1.253331

05/10/2018

1.261817

1.258545

04/10/2018

1.262864

1.259589

03/10/2018

1.264173

1.260895

02/10/2018

1.261363

1.258092

30/09/2018

1.267587

1.264300

28/09/2018

1.267587

1.264300

27/09/2018

1.267740

1.264453

26/09/2018

1.265446

1.262164

25/09/2018

1.265401

1.262119

24/09/2018

1.264847

1.261567

21/09/2018

1.265828

1.262546

20/09/2018

1.264450

1.261170

19/09/2018

1.263594

1.260317

18/09/2018

1.265234

1.261953

17/09/2018

1.266006

1.262723

14/09/2018

1.267556

1.264269

13/09/2018

1.265343

1.262062

12/09/2018

1.266761

1.263476

11/09/2018

1.267679

1.264392

10/09/2018

1.264588

1.261309

07/09/2018

1.263229

1.259953

06/09/2018

1.261919

1.258646

05/09/2018

1.265880

1.262597

04/09/2018

1.271157

1.267861

03/09/2018

1.272012

1.268713

31/08/2018

1.272565

1.269265

30/08/2018

1.271550

1.268253

29/08/2018

1.273620

1.270317