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

03/06/2020

1.603161

1.596773

02/06/2020

1.571726

1.565464

01/06/2020

1.571116

1.564857

31/05/2020

1.576088

1.569809

29/05/2020

1.576088

1.569809

28/05/2020

1.592054

1.585711

27/05/2020

1.599131

1.592760

26/05/2020

1.578179

1.571891

25/05/2020

1.543683

1.537533

22/05/2020

1.527403

1.521318

21/05/2020

1.527169

1.521085

20/05/2020

1.524628

1.518554

19/05/2020

1.522160

1.516095

18/05/2020

1.508440

1.502430

15/05/2020

1.484819

1.478903

14/05/2020

1.483379

1.477469

13/05/2020

1.491082

1.485142

12/05/2020

1.511369

1.505348

11/05/2020

1.551159

1.544979

08/05/2020

1.536150

1.530030

07/05/2020

1.521037

1.514977

06/05/2020

1.512258

1.506233

05/05/2020

1.522957

1.516889

04/05/2020

1.504142

1.498150

01/05/2020

1.505877

1.499877

30/04/2020

1.545552

1.539395

29/04/2020

1.525271

1.519194

28/04/2020

1.518040

1.511992

27/04/2020

1.520765

1.514706

24/04/2020

1.497267

1.491302