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

25/01/2016

1.023046

1.021615

22/01/2016

1.022986

1.021556

21/01/2016

1.023073

1.021643

20/01/2016

1.024058

1.022626

19/01/2016

1.023512

1.022081

18/01/2016

1.023726

1.022295

15/01/2016

1.023923

1.022491

14/01/2016

1.024484

1.023052

13/01/2016

1.023415

1.021984

12/01/2016

1.023287

1.021856

11/01/2016

1.023866

1.022434

08/01/2016

1.023376

1.021945

07/01/2016

1.024734

1.023301

06/01/2016

1.023909

1.022478

05/01/2016

1.023669

1.022238

04/01/2016

1.023491

1.022060

31/12/2015

1.023981

1.022550

30/12/2015

1.025080

1.023647

29/12/2015

1.025763

1.024329

24/12/2015

1.023914

1.022482

23/12/2015

1.023863

1.022431

22/12/2015

1.024163

1.022731

21/12/2015

1.023588

1.022157

18/12/2015

1.023275

1.021845

17/12/2015

1.021967

1.020538

16/12/2015

1.021342

1.019914

15/12/2015

1.021619

1.020191

14/12/2015

1.021719

1.020290

11/12/2015

1.020476

1.019050

10/12/2015

1.020510

1.019083