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Unit Prices

Diversified Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

01/07/2016

1.138389

1.136117

30/06/2016

1.152624

1.150324

29/06/2016

1.147196

1.144907

28/06/2016

1.143203

1.140922

27/06/2016

1.140503

1.138227

24/06/2016

1.140421

1.138145

23/06/2016

1.149914

1.147619

22/06/2016

1.149325

1.147031

21/06/2016

1.151270

1.148972

20/06/2016

1.149916

1.147621

17/06/2016

1.146869

1.144580

16/06/2016

1.148245

1.145953

15/06/2016

1.145024

1.142739

14/06/2016

1.147697

1.145406

10/06/2016

1.153366

1.151064

09/06/2016

1.156720

1.154411

08/06/2016

1.156183

1.153875

07/06/2016

1.155119

1.152813

06/06/2016

1.156251

1.153943

03/06/2016

1.154636

1.152332

02/06/2016

1.155501

1.153195

01/06/2016

1.155662

1.153356

31/05/2016

1.157524

1.155213

30/05/2016

1.160353

1.158037

27/05/2016

1.159618

1.157303

26/05/2016

1.157513

1.155202

25/05/2016

1.157453

1.155143

24/05/2016

1.153460

1.151158

23/05/2016

1.151092

1.148795

20/05/2016

1.152028

1.149728

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45