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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

28/10/2021

0.999345

0.997350

27/10/2021

1.000751

0.998753

26/10/2021

1.001062

0.999064

25/10/2021

1.001162

0.999164

22/10/2021

1.000864

0.998866

21/10/2021

1.001891

0.999891

20/10/2021

1.002298

1.000297

19/10/2021

1.003176

1.001174

18/10/2021

1.003165

1.001163

15/10/2021

1.005189

1.003183

14/10/2021

1.005594

1.003587

13/10/2021

1.004522

1.002517

12/10/2021

1.003692

1.001689

11/10/2021

1.003906

1.001902

08/10/2021

1.005159

1.003153

07/10/2021

1.006325

1.004316

06/10/2021

1.006217

1.004209

05/10/2021

1.007501

1.005490

01/10/2021

1.008439

1.006426

30/09/2021

1.009318

1.007303

29/09/2021

1.009723

1.007708

28/09/2021

1.012120

1.010100

27/09/2021

1.011400

1.009381

24/09/2021

1.012184

1.010163

23/09/2021

1.014261

1.012237

22/09/2021

1.014889

1.012863

21/09/2021

1.014668

1.012642

20/09/2021

1.014269

1.012244

17/09/2021

1.014367

1.012343

16/09/2021

1.015161

1.013135