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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

28/07/2023

0.940775

0.938897

27/07/2023

0.942755

0.940873

26/07/2023

0.942844

0.940962

25/07/2023

0.941542

0.939663

24/07/2023

0.943402

0.941519

21/07/2023

0.942534

0.940653

20/07/2023

0.943207

0.941324

19/07/2023

0.947312

0.945421

18/07/2023

0.944357

0.942472

17/07/2023

0.942085

0.940205

14/07/2023

0.941713

0.939833

13/07/2023

0.941520

0.939641

12/07/2023

0.936711

0.934841

11/07/2023

0.931811

0.929951

10/07/2023

0.929328

0.927473

07/07/2023

0.928972

0.927118

06/07/2023

0.931690

0.929830

05/07/2023

0.937860

0.935988

04/07/2023

0.938867

0.936993

03/07/2023

0.939751

0.937875

30/06/2023

0.939029

0.937155

29/06/2023

0.940517

0.938640

28/06/2023

0.944159

0.942274

27/06/2023

0.941698

0.939818

26/06/2023

0.942609

0.940728

23/06/2023

0.940469

0.938592

22/06/2023

0.939071

0.937197

21/06/2023

0.940769

0.938891

20/06/2023

0.940283

0.938406

19/06/2023

0.939126

0.937251

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45