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

28/03/2017

1.020926

1.019499

27/03/2017

1.020489

1.019062

24/03/2017

1.019830

1.018405

23/03/2017

1.019661

1.018235

22/03/2017

1.019157

1.017732

21/03/2017

1.018480

1.017056

20/03/2017

1.018293

1.016870

17/03/2017

1.017434

1.016012

16/03/2017

1.017868

1.016445

15/03/2017

1.016219

1.014798

14/03/2017

1.016335

1.014914

13/03/2017

1.015872

1.014452

10/03/2017

1.015525

1.014105

09/03/2017

1.016162

1.014741

08/03/2017

1.016971

1.015550

07/03/2017

1.017637

1.016215

06/03/2017

1.017880

1.016457

03/03/2017

1.017858

1.016435

02/03/2017

1.017870

1.016447

01/03/2017

1.017444

1.016022

28/02/2017

1.018226

1.016802

27/02/2017

1.018207

1.016783

24/02/2017

1.017516

1.016093

23/02/2017

1.016533

1.015111

22/02/2017

1.015679

1.014259

21/02/2017

1.016053

1.014633

20/02/2017

1.016089

1.014668

17/02/2017

1.015831

1.014411

16/02/2017

1.015730

1.014310

15/02/2017

1.015996

1.014575