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Unit Prices

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

28/01/2025

1.088184

1.085576

24/01/2025

1.091410

1.088794

23/01/2025

1.088119

1.085511

22/01/2025

1.093287

1.090667

21/01/2025

1.087780

1.085172

20/01/2025

1.081160

1.078568

17/01/2025

1.075076

1.072498

16/01/2025

1.077331

1.074749

15/01/2025

1.063058

1.060510

14/01/2025

1.067176

1.064618

13/01/2025

1.065162

1.062608

10/01/2025

1.080833

1.078243

09/01/2025

1.085027

1.082427

08/01/2025

1.085978

1.083374

07/01/2025

1.079960

1.077372

06/01/2025

1.075387

1.072809

03/01/2025

1.072869

1.070297

02/01/2025

1.066436

1.063880

31/12/2024

1.061271

1.058727

30/12/2024

1.071504

1.068936

27/12/2024

1.073723

1.071149

24/12/2024

1.068367

1.065805

23/12/2024

1.064845

1.062293

20/12/2024

1.048992

1.046478

19/12/2024

1.059865

1.057325

18/12/2024

1.076619

1.074039

17/12/2024

1.076624

1.074044

16/12/2024

1.067943

1.065383

13/12/2024

1.073222

1.070650

12/12/2024

1.077304

1.074722