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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/01/2023

0.933626

0.931762

03/01/2023

0.931420

0.929561

31/12/2022

0.930069

0.928213

30/12/2022

0.930069

0.928213

29/12/2022

0.930230

0.928373

28/12/2022

0.929829

0.927973

23/12/2022

0.932925

0.931063

22/12/2022

0.933895

0.932031

21/12/2022

0.934613

0.932748

20/12/2022

0.933470

0.931607

19/12/2022

0.935900

0.934032

16/12/2022

0.937370

0.935499

15/12/2022

0.938218

0.936345

14/12/2022

0.939898

0.938022

13/12/2022

0.939071

0.937197

12/12/2022

0.937936

0.936064

09/12/2022

0.939065

0.937191

08/12/2022

0.939143

0.937268

07/12/2022

0.939217

0.937342

06/12/2022

0.938177

0.936304

05/12/2022

0.938269

0.936396

02/12/2022

0.938337

0.936464

01/12/2022

0.936861

0.934991

30/11/2022

0.933780

0.931916

29/11/2022

0.932483

0.930622

28/11/2022

0.933190

0.931327

25/11/2022

0.932612

0.930750

24/11/2022

0.933180

0.931317

23/11/2022

0.931981

0.930121

22/11/2022

0.930668

0.928810