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

13/07/2018

1.016937

1.015515

12/07/2018

1.016735

1.015313

11/07/2018

1.016687

1.015266

10/07/2018

1.016099

1.014678

09/07/2018

1.016398

1.014977

06/07/2018

1.016261

1.014840

05/07/2018

1.016252

1.014832

04/07/2018

1.016006

1.014586

03/07/2018

1.015630

1.014210

02/07/2018

1.015452

1.014032

01/07/2018

1.015452

1.014032

30/06/2018

1.020437

1.019010

29/06/2018

1.020437

1.019010

28/06/2018

1.020180

1.018754

27/06/2018

1.020564

1.019137

26/06/2018

1.019951

1.018525

25/06/2018

1.020109

1.018683

22/06/2018

1.020007

1.018581

21/06/2018

1.019559

1.018134

20/06/2018

1.019708

1.018282

19/06/2018

1.020414

1.018988

18/06/2018

1.019885

1.018459

15/06/2018

1.019624

1.018199

14/06/2018

1.019135

1.017711

13/06/2018

1.017917

1.016494

12/06/2018

1.017659

1.016236

08/06/2018

1.017761

1.016338

07/06/2018

1.017454

1.016031

06/06/2018

1.018050

1.016627

05/06/2018

1.019281

1.017856