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

23/04/2018

1.269848

1.266555

20/04/2018

1.267701

1.264413

19/04/2018

1.267074

1.263788

18/04/2018

1.266990

1.263704

17/04/2018

1.265000

1.261720

16/04/2018

1.261637

1.258366

13/04/2018

1.260130

1.256862

12/04/2018

1.261229

1.257958

11/04/2018

1.260499

1.257230

10/04/2018

1.263394

1.260117

09/04/2018

1.260227

1.256959

06/04/2018

1.258309

1.255046

05/04/2018

1.261655

1.258384

04/04/2018

1.256604

1.253345

03/04/2018

1.255793

1.252537

31/03/2018

1.261606

1.258335

29/03/2018

1.261606

1.258335

28/03/2018

1.259506

1.256240

27/03/2018

1.260071

1.256804

26/03/2018

1.259927

1.256659

23/03/2018

1.255828

1.252571

22/03/2018

1.267739

1.264451

21/03/2018

1.273709

1.270406

20/03/2018

1.274055

1.270751

19/03/2018

1.274813

1.271507

16/03/2018

1.276452

1.273142

15/03/2018

1.271101

1.267805

14/03/2018

1.268663

1.265373

13/03/2018

1.271400

1.268103

12/03/2018

1.274391

1.271086