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 Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

20/09/2023

0.932037

0.930177

19/09/2023

0.932238

0.930377

18/09/2023

0.932376

0.930515

15/09/2023

0.935008

0.933142

14/09/2023

0.936269

0.934400

13/09/2023

0.934876

0.933010

12/09/2023

0.933953

0.932089

11/09/2023

0.933797

0.931933

08/09/2023

0.936275

0.934406

07/09/2023

0.934102

0.932238

06/09/2023

0.933694

0.931830

05/09/2023

0.934573

0.932708

04/09/2023

0.937484

0.935613

01/09/2023

0.939579

0.937704

31/08/2023

0.940591

0.938714

30/08/2023

0.938469

0.936596

29/08/2023

0.937683

0.935811

28/08/2023

0.935039

0.933173

25/08/2023

0.934322

0.932457

24/08/2023

0.935314

0.933447

23/08/2023

0.933799

0.931935

22/08/2023

0.928510

0.926657

21/08/2023

0.928027

0.926175

18/08/2023

0.930586

0.928729

17/08/2023

0.927832

0.925980

16/08/2023

0.931677

0.929817

15/08/2023

0.931266

0.929407

14/08/2023

0.933849

0.931985

11/08/2023

0.936421

0.934552

10/08/2023

0.939954

0.938078