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

05/01/2021

1.553812

1.547622

04/01/2021

1.559652

1.553438

31/12/2020

1.566154

1.559914

30/12/2020

1.585817

1.579499

29/12/2020

1.584145

1.577834

24/12/2020

1.573135

1.566868

23/12/2020

1.561652

1.555430

22/12/2020

1.551688

1.545506

21/12/2020

1.539406

1.533273

18/12/2020

1.549982

1.543807

17/12/2020

1.580460

1.574163

16/12/2020

1.579533

1.573240

15/12/2020

1.573910

1.567639

14/12/2020

1.559968

1.553753

11/12/2020

1.553568

1.547378

10/12/2020

1.560406

1.554189

09/12/2020

1.568976

1.562725

08/12/2020

1.584640

1.578327

07/12/2020

1.586563

1.580242

04/12/2020

1.589901

1.583567

03/12/2020

1.580738

1.574441

02/12/2020

1.577463

1.571178

01/12/2020

1.590637

1.584299

30/11/2020

1.574666

1.568393

27/11/2020

1.583881

1.577570

26/11/2020

1.587623

1.581298

25/11/2020

1.596835

1.590473

24/11/2020

1.581179

1.574879

23/11/2020

1.578324

1.572036

20/11/2020

1.586056

1.579737