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

Implemented Real Estate Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

09/12/2021

1.933332

1.926589

08/12/2021

1.940488

1.933720

07/12/2021

1.934708

1.927960

06/12/2021

1.920611

1.913912

03/12/2021

1.903496

1.896857

02/12/2021

1.895140

1.888530

01/12/2021

1.872395

1.865864

30/11/2021

1.897858

1.891239

29/11/2021

1.905568

1.898922

26/11/2021

1.915651

1.908970

25/11/2021

1.943579

1.936800

24/11/2021

1.933165

1.926423

23/11/2021

1.918228

1.911538

22/11/2021

1.895991

1.889378

19/11/2021

1.905961

1.899313

18/11/2021

1.904837

1.898193

17/11/2021

1.888597

1.882010

16/11/2021

1.879205

1.872651

15/11/2021

1.883938

1.877367

12/11/2021

1.882610

1.876044

11/11/2021

1.880534

1.873975

10/11/2021

1.889196

1.882607

09/11/2021

1.890926

1.884331

08/11/2021

1.890092

1.883500

05/11/2021

1.887821

1.881237

04/11/2021

1.878055

1.871505

03/11/2021

1.871087

1.864561

02/11/2021

1.859470

1.852985

01/11/2021

1.835390

1.828989

31/10/2021

1.833578

1.827183