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Unit Prices

Perpetual Select Balanced Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

11/09/2023

0.960490

0.958573

08/09/2023

0.960796

0.958878

07/09/2023

0.962104

0.960184

06/09/2023

0.964790

0.962864

05/09/2023

0.967803

0.965871

04/09/2023

0.965964

0.964036

01/09/2023

0.965429

0.963502

31/08/2023

0.963359

0.961436

30/08/2023

0.962688

0.960766

29/08/2023

0.960885

0.958967

28/08/2023

0.956528

0.954619

25/08/2023

0.954226

0.952321

24/08/2023

0.952753

0.950851

23/08/2023

0.952498

0.950597

22/08/2023

0.950547

0.948650

21/08/2023

0.951330

0.949431

18/08/2023

0.951894

0.949994

17/08/2023

0.951386

0.949487

16/08/2023

0.954005

0.952101

15/08/2023

0.956601

0.954692

14/08/2023

0.959502

0.957587

11/08/2023

0.959645

0.957730

10/08/2023

0.960208

0.958291

09/08/2023

0.960721

0.958803

08/08/2023

0.962040

0.960120

04/08/2023

0.956709

0.954799

03/08/2023

0.957091

0.955181

02/08/2023

0.959987

0.958071

01/08/2023

0.962011

0.960091

31/07/2023

0.955803

0.953895

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45