What can we help you find?
Search by Topic

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

07/05/2015

1.211157

1.208016

06/05/2015

1.212139

1.208995

05/05/2015

1.223327

1.220155

04/05/2015

1.229574

1.226385

01/05/2015

1.226683

1.223502

30/04/2015

1.221189

1.218022

29/04/2015

1.221409

1.218241

28/04/2015

1.231041

1.227849

27/04/2015

1.238492

1.235280

24/04/2015

1.236562

1.233355

23/04/2015

1.231894

1.228700

22/04/2015

1.230761

1.227569

21/04/2015

1.231676

1.228482

20/04/2015

1.229001

1.225814

17/04/2015

1.229048

1.225861

16/04/2015

1.236270

1.233064

15/04/2015

1.240016

1.236801

14/04/2015

1.240480

1.237263

13/04/2015

1.243397

1.240173

10/04/2015

1.240480

1.237263

09/04/2015

1.236861

1.233654

08/04/2015

1.238056

1.234845

07/04/2015

1.236458

1.233251

02/04/2015

1.235800

1.232595

01/04/2015

1.229805

1.226616

31/03/2015

1.231923

1.228728

30/03/2015

1.232067

1.228872

27/03/2015

1.229241

1.226054

26/03/2015

1.223833

1.220659

25/03/2015

1.230470

1.227279