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

31/10/2019

1.040425

1.038971

30/10/2019

1.039076

1.037623

29/10/2019

1.038266

1.036814

28/10/2019

1.039159

1.037706

25/10/2019

1.040295

1.038841

24/10/2019

1.040376

1.038921

23/10/2019

1.039848

1.038394

22/10/2019

1.038727

1.037275

21/10/2019

1.038465

1.037013

18/10/2019

1.039351

1.037897

17/10/2019

1.039373

1.037919

16/10/2019

1.040034

1.038580

15/10/2019

1.040185

1.038731

14/10/2019

1.040300

1.038845

11/10/2019

1.039949

1.038495

10/10/2019

1.041882

1.040425

09/10/2019

1.043027

1.041569

08/10/2019

1.043682

1.042223

04/10/2019

1.044289

1.042829

03/10/2019

1.043406

1.041947

02/10/2019

1.042172

1.040715

01/10/2019

1.041741

1.040284

30/09/2019

1.042920

1.041462

27/09/2019

1.043507

1.042048

26/09/2019

1.043520

1.042061

25/09/2019

1.043132

1.041674

24/09/2019

1.044141

1.042682

23/09/2019

1.043155

1.041696

20/09/2019

1.042149

1.040692

19/09/2019

1.041262

1.039806