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Unit Prices

Conservative Fund No.2

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

23/07/2026

0.940605

0.938915

22/07/2026

0.941780

0.940088

21/07/2026

0.942297

0.940604

20/07/2026

0.941354

0.939663

17/07/2026

0.943118

0.941423

16/07/2026

0.944620

0.942923

15/07/2026

0.944934

0.943236

14/07/2026

0.943516

0.941821

13/07/2026

0.945032

0.943334

10/07/2026

0.946369

0.944669

09/07/2026

0.945076

0.943378

08/07/2026

0.944454

0.942757

07/07/2026

0.947229

0.945527

06/07/2026

0.949071

0.947366

03/07/2026

0.948727

0.947022

02/07/2026

0.946569

0.944868

01/07/2026

0.946617

0.944916

30/06/2026

1.019493

1.017661

29/06/2026

1.021255

1.019420

26/06/2026

1.019018

1.017187

25/06/2026

1.018402

1.016572

24/06/2026

1.017745

1.015916

23/06/2026

1.014955

1.013131

22/06/2026

1.014507

1.012684

19/06/2026

1.014883

1.013059

18/06/2026

1.016287

1.014461

17/06/2026

1.016186

1.014360

16/06/2026

1.016219

1.014393

15/06/2026

1.015818

1.013993

12/06/2026

1.011945

1.010127