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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

13/12/2023

0.953189

0.951286

12/12/2023

0.948492

0.946599

11/12/2023

0.947152

0.945261

08/12/2023

0.948541

0.946648

07/12/2023

0.950127

0.948231

06/12/2023

0.951052

0.949154

05/12/2023

0.946601

0.944712

04/12/2023

0.942957

0.941075

01/12/2023

0.942328

0.940447

30/11/2023

0.940742

0.938864

29/11/2023

0.942915

0.941033

28/11/2023

0.937475

0.935604

27/11/2023

0.934197

0.932332

24/11/2023

0.932169

0.930308

23/11/2023

0.934691

0.932825

22/11/2023

0.936191

0.934322

21/11/2023

0.936706

0.934836

20/11/2023

0.934892

0.933026

17/11/2023

0.934951

0.933085

16/11/2023

0.933026

0.931164

15/11/2023

0.931039

0.929181

14/11/2023

0.929314

0.927459

13/11/2023

0.924264

0.922419

10/11/2023

0.925145

0.923298

09/11/2023

0.927392

0.925541

08/11/2023

0.928629

0.926775

07/11/2023

0.925197

0.923350

06/11/2023

0.922703

0.920861

03/11/2023

0.924231

0.922386

02/11/2023

0.919601

0.917765