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 Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

08/03/2022

0.974514

0.972569

07/03/2022

0.977309

0.975358

04/03/2022

0.979129

0.977175

03/03/2022

0.979925

0.977969

02/03/2022

0.981656

0.979697

01/03/2022

0.982423

0.980462

28/02/2022

0.982019

0.980059

25/02/2022

0.980583

0.978626

24/02/2022

0.980309

0.978352

23/02/2022

0.980678

0.978721

22/02/2022

0.982042

0.980082

21/02/2022

0.982374

0.980413

18/02/2022

0.982227

0.980266

17/02/2022

0.982705

0.980744

16/02/2022

0.982131

0.980171

15/02/2022

0.982371

0.980410

14/02/2022

0.983032

0.981070

11/02/2022

0.983491

0.981528

10/02/2022

0.985532

0.983565

09/02/2022

0.987161

0.985191

08/02/2022

0.986432

0.984463

07/02/2022

0.988320

0.986347

04/02/2022

0.989589

0.987614

03/02/2022

0.992669

0.990688

02/02/2022

0.993464

0.991481

01/02/2022

0.992843

0.990861

31/01/2022

0.992758

0.990776

28/01/2022

0.991776

0.989796

27/01/2022

0.991351

0.989372

25/01/2022

0.993073

0.991091