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Unit Prices

Diversified Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

08/12/2014

1.111502

1.109284

05/12/2014

1.112032

1.109812

04/12/2014

1.110383

1.108166

03/12/2014

1.108757

1.106544

02/12/2014

1.105489

1.103282

01/12/2014

1.102170

1.099970

30/11/2014

1.105439

1.103233

28/11/2014

1.105439

1.103233

27/11/2014

1.107464

1.105254

26/11/2014

1.107454

1.105243

25/11/2014

1.103990

1.101786

24/11/2014

1.103293

1.101091

21/11/2014

1.099281

1.097087

20/11/2014

1.099073

1.096879

19/11/2014

1.101102

1.098904

18/11/2014

1.100254

1.098058

17/11/2014

1.100541

1.098345

14/11/2014

1.101830

1.099631

13/11/2014

1.101178

1.098980

12/11/2014

1.101945

1.099745

11/11/2014

1.105803

1.103596

10/11/2014

1.106343

1.104135

07/11/2014

1.104900

1.102695

06/11/2014

1.104047

1.101843

05/11/2014

1.104260

1.102056

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211