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

27/10/2017

1.024757

1.023325

26/10/2017

1.024873

1.023441

25/10/2017

1.024421

1.022989

24/10/2017

1.023926

1.022494

23/10/2017

1.023510

1.022079

20/10/2017

1.023431

1.022000

19/10/2017

1.023760

1.022328

18/10/2017

1.024338

1.022905

17/10/2017

1.023663

1.022232

16/10/2017

1.023692

1.022261

13/10/2017

1.022817

1.021387

12/10/2017

1.022555

1.021126

11/10/2017

1.022071

1.020642

10/10/2017

1.021804

1.020375

09/10/2017

1.021992

1.020563

06/10/2017

1.021815

1.020387

05/10/2017

1.022327

1.020897

04/10/2017

1.021625

1.020196

03/10/2017

1.020978

1.019551

30/09/2017

1.022870

1.021440

29/09/2017

1.022870

1.021440

28/09/2017

1.022634

1.021205

27/09/2017

1.023557

1.022126

26/09/2017

1.023667

1.022235

25/09/2017

1.023275

1.021844

22/09/2017

1.023368

1.021938

21/09/2017

1.022574

1.021145

20/09/2017

1.022455

1.021026

19/09/2017

1.022527

1.021097

18/09/2017

1.022817

1.021387