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

Perpetual Select Growth Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

02/09/2015

1.250754

1.247262

01/09/2015

1.246951

1.243469

31/08/2015

1.261669

1.258146

28/08/2015

1.264010

1.260481

27/08/2015

1.260075

1.256557

26/08/2015

1.250258

1.246767

25/08/2015

1.239729

1.236267

24/08/2015

1.230156

1.226721

21/08/2015

1.251245

1.247751

20/08/2015

1.264515

1.260984

19/08/2015

1.275455

1.271894

18/08/2015

1.273589

1.270033

17/08/2015

1.273995

1.270438

14/08/2015

1.273690

1.270134

13/08/2015

1.275434

1.271873

12/08/2015

1.274655

1.271096

11/08/2015

1.285154

1.281565

10/08/2015

1.285617

1.282027

07/08/2015

1.279753

1.276180

06/08/2015

1.291425

1.287819

05/08/2015

1.297335

1.293713

04/08/2015

1.294463

1.290848

31/07/2015

1.299910

1.296280

30/07/2015

1.299158

1.295531

29/07/2015

1.294531

1.290917

28/07/2015

1.288102

1.284506

27/07/2015

1.287229

1.283635

24/07/2015

1.288538

1.284940

23/07/2015

1.288349

1.284752

22/07/2015

1.290230

1.286628

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45