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

Balanced Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/12/2025

0.856872

0.855162

03/12/2025

0.857731

0.856019

02/12/2025

0.856948

0.855238

01/12/2025

0.857597

0.855885

30/11/2025

0.860482

0.858764

28/11/2025

0.860482

0.858764

27/11/2025

0.860188

0.858471

25/11/2025

0.859916

0.858200

24/11/2025

0.854580

0.852874

21/11/2025

0.849538

0.847842

20/11/2025

0.848506

0.846812

19/11/2025

0.848951

0.847256

18/11/2025

0.848543

0.846849

17/11/2025

0.854580

0.852874

14/11/2025

0.854621

0.852915

13/11/2025

0.859271

0.857556

12/11/2025

0.864480

0.862754

11/11/2025

0.865109

0.863382

10/11/2025

0.862918

0.861196

07/11/2025

0.860140

0.858423

06/11/2025

0.861385

0.859666

05/11/2025

0.861208

0.859489

04/11/2025

0.861769

0.860049

03/11/2025

0.865912

0.864184

31/10/2025

0.864476

0.862750

30/10/2025

0.863214

0.861491

29/10/2025

0.864297

0.862572

28/10/2025

0.869701

0.867965

27/10/2025

0.873954

0.872210

24/10/2025

0.873296

0.871553