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

15/09/2017

1.023460

1.022029

14/09/2017

1.023784

1.022353

13/09/2017

1.024842

1.023409

12/09/2017

1.025279

1.023845

11/09/2017

1.025605

1.024172

08/09/2017

1.025632

1.024198

07/09/2017

1.024843

1.023410

06/09/2017

1.025425

1.023991

05/09/2017

1.024629

1.023197

04/09/2017

1.025623

1.024189

01/09/2017

1.024532

1.023100

31/08/2017

1.023584

1.022153

30/08/2017

1.023738

1.022306

29/08/2017

1.024783

1.023350

28/08/2017

1.024294

1.022862

25/08/2017

1.024692

1.023259

24/08/2017

1.024687

1.023255

23/08/2017

1.024044

1.022612

22/08/2017

1.024453

1.023021

21/08/2017

1.024666

1.023233

18/08/2017

1.025011

1.023578

17/08/2017

1.024630

1.023198

16/08/2017

1.024340

1.022908

15/08/2017

1.024532

1.023099

14/08/2017

1.024751

1.023318

11/08/2017

1.025139

1.023706

10/08/2017

1.024285

1.022853

09/08/2017

1.024674

1.023241

08/08/2017

1.025129

1.023695

04/08/2017

1.025195

1.023762