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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

16/02/2023

0.940970

0.939092

15/02/2023

0.941670

0.939790

14/02/2023

0.942729

0.940847

13/02/2023

0.943184

0.941301

10/02/2023

0.944376

0.942491

09/02/2023

0.946070

0.944182

08/02/2023

0.946520

0.944631

07/02/2023

0.946746

0.944856

06/02/2023

0.948547

0.946654

03/02/2023

0.950926

0.949028

02/02/2023

0.950937

0.949039

01/02/2023

0.947773

0.945881

31/01/2023

0.946687

0.944797

30/01/2023

0.946448

0.944559

27/01/2023

0.946852

0.944962

25/01/2023

0.947401

0.945510

24/01/2023

0.947603

0.945712

23/01/2023

0.946837

0.944947

20/01/2023

0.947275

0.945384

19/01/2023

0.948830

0.946936

18/01/2023

0.946889

0.944999

17/01/2023

0.944281

0.942396

16/01/2023

0.943965

0.942081

13/01/2023

0.943830

0.941946

12/01/2023

0.943131

0.941249

11/01/2023

0.939777

0.937901

10/01/2023

0.938001

0.936129

09/01/2023

0.938410

0.936537

06/01/2023

0.935893

0.934025

05/01/2023

0.933718

0.931854