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

08/10/2018

1.014419

1.013001

05/10/2018

1.015020

1.013601

04/10/2018

1.015408

1.013989

03/10/2018

1.017045

1.015623

02/10/2018

1.017365

1.015943

30/09/2018

1.017264

1.015842

28/09/2018

1.017264

1.015842

27/09/2018

1.017128

1.015706

26/09/2018

1.016291

1.014870

25/09/2018

1.015491

1.014071

24/09/2018

1.016203

1.014782

21/09/2018

1.016487

1.015066

20/09/2018

1.015969

1.014549

19/09/2018

1.015815

1.014395

18/09/2018

1.016785

1.015363

17/09/2018

1.017566

1.016143

14/09/2018

1.017609

1.016187

13/09/2018

1.017845

1.016422

12/09/2018

1.017786

1.016363

11/09/2018

1.017317

1.015894

10/09/2018

1.017605

1.016182

07/09/2018

1.017720

1.016297

06/09/2018

1.018091

1.016668

05/09/2018

1.017727

1.016305

04/09/2018

1.017939

1.016515

03/09/2018

1.018611

1.017187

31/08/2018

1.018598

1.017173

30/08/2018

1.018121

1.016698

29/08/2018

1.018546

1.017122

28/08/2018

1.018529

1.017105