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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

08/12/2021

1.002521

1.000520

07/12/2021

1.002658

1.000657

06/12/2021

1.003267

1.001264

03/12/2021

1.002638

1.000637

02/12/2021

1.001270

0.999271

01/12/2021

1.000768

0.998770

30/11/2021

1.000878

0.998880

29/11/2021

0.999429

0.997434

26/11/2021

0.999240

0.997246

25/11/2021

0.997646

0.995655

24/11/2021

0.997889

0.995897

23/11/2021

0.997825

0.995833

22/11/2021

0.999841

0.997845

19/11/2021

1.000533

0.998536

18/11/2021

1.000571

0.998574

17/11/2021

0.999872

0.997876

16/11/2021

1.000155

0.998159

15/11/2021

1.001530

0.999531

12/11/2021

1.001477

0.999478

11/11/2021

1.002107

1.000107

10/11/2021

1.003499

1.001496

09/11/2021

1.003883

1.001879

08/11/2021

1.003698

1.001695

05/11/2021

1.002865

1.000863

04/11/2021

1.001395

0.999396

03/11/2021

1.000401

0.998404

02/11/2021

1.000017

0.998021

01/11/2021

0.999446

0.997451

31/10/2021

0.996549

0.994560

29/10/2021

0.996549

0.994560