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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

20/08/2024

0.980451

0.978494

19/08/2024

0.979881

0.977925

16/08/2024

0.979310

0.977355

15/08/2024

0.979651

0.977696

14/08/2024

0.981084

0.979126

13/08/2024

0.978505

0.976552

12/08/2024

0.976119

0.974171

09/08/2024

0.975481

0.973534

08/08/2024

0.973404

0.971461

07/08/2024

0.972977

0.971035

06/08/2024

0.975722

0.973774

02/08/2024

0.976728

0.974778

01/08/2024

0.972704

0.970762

31/07/2024

0.968642

0.966709

30/07/2024

0.964616

0.962691

29/07/2024

0.963918

0.961994

26/07/2024

0.962374

0.960453

25/07/2024

0.961376

0.959457

24/07/2024

0.960373

0.958456

23/07/2024

0.960859

0.958941

22/07/2024

0.960881

0.958963

19/07/2024

0.961557

0.959638

18/07/2024

0.963586

0.961663

17/07/2024

0.963819

0.961895

16/07/2024

0.963412

0.961489

15/07/2024

0.960587

0.958670

12/07/2024

0.960488

0.958571

11/07/2024

0.959024

0.957110

10/07/2024

0.957150

0.955240

09/07/2024

0.956257

0.954348

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45