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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

25/08/2022

0.938956

0.937082

24/08/2022

0.938426

0.936553

23/08/2022

0.938873

0.936999

22/08/2022

0.940337

0.938460

19/08/2022

0.943340

0.941457

18/08/2022

0.945848

0.943960

17/08/2022

0.946783

0.944893

16/08/2022

0.948826

0.946932

15/08/2022

0.947499

0.945608

12/08/2022

0.945865

0.943977

11/08/2022

0.947239

0.945348

10/08/2022

0.947717

0.945825

09/08/2022

0.947710

0.945818

08/08/2022

0.947646

0.945754

05/08/2022

0.948416

0.946523

04/08/2022

0.949120

0.947226

03/08/2022

0.948963

0.947069

02/08/2022

0.950303

0.948406

31/07/2022

0.948856

0.946962

29/07/2022

0.948856

0.946962

28/07/2022

0.945172

0.943285

27/07/2022

0.942431

0.940550

26/07/2022

0.940560

0.938683

25/07/2022

0.940024

0.938148

22/07/2022

0.938424

0.936551

21/07/2022

0.934699

0.932833

20/07/2022

0.933688

0.931824

19/07/2022

0.933146

0.931283

18/07/2022

0.934167

0.932302

15/07/2022

0.934477

0.932612