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

11/12/2019

1.040269

1.038815

10/12/2019

1.040235

1.038781

09/12/2019

1.039596

1.038142

06/12/2019

1.039437

1.037984

05/12/2019

1.038567

1.037115

04/12/2019

1.040495

1.039041

03/12/2019

1.039912

1.038459

02/12/2019

1.038976

1.037523

30/11/2019

1.040685

1.039230

29/11/2019

1.040685

1.039230

28/11/2019

1.041126

1.039671

27/11/2019

1.040892

1.039437

26/11/2019

1.040387

1.038932

25/11/2019

1.040028

1.038574

22/11/2019

1.038469

1.037017

21/11/2019

1.040262

1.038808

20/11/2019

1.040541

1.039086

19/11/2019

1.039307

1.037854

18/11/2019

1.038945

1.037492

15/11/2019

1.038646

1.037194

14/11/2019

1.038936

1.037484

13/11/2019

1.036316

1.034868

12/11/2019

1.036503

1.035054

11/11/2019

1.036027

1.034578

08/11/2019

1.036093

1.034644

07/11/2019

1.036711

1.035262

06/11/2019

1.037395

1.035945

05/11/2019

1.038563

1.037111

04/11/2019

1.039191

1.037738

01/11/2019

1.040640

1.039185