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Unit Prices

Perpetual Select Fixed Income Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/12/2025

0.996156

0.993771

03/12/2025

0.997598

0.995209

02/12/2025

0.997282

0.994894

01/12/2025

0.997878

0.995489

30/11/2025

1.000299

0.997904

28/11/2025

1.000299

0.997904

27/11/2025

1.000662

0.998266

25/11/2025

1.001454

0.999056

24/11/2025

1.000220

0.997825

21/11/2025

0.999414

0.997021

20/11/2025

0.998561

0.996170

19/11/2025

0.999022

0.996630

18/11/2025

0.999001

0.996609

17/11/2025

0.998655

0.996264

14/11/2025

0.998807

0.996416

13/11/2025

0.999958

0.997564

12/11/2025

1.002061

0.999662

11/11/2025

1.001870

0.999471

10/11/2025

1.000968

0.998571

07/11/2025

1.001586

0.999188

06/11/2025

1.001691

0.999293

05/11/2025

1.001276

0.998879

04/11/2025

1.001926

0.999527

03/11/2025

1.002003

0.999604

31/10/2025

1.002989

1.000588

30/10/2025

1.002773

1.000372

29/10/2025

1.004608

1.002203

28/10/2025

1.006761

1.004351

27/10/2025

1.006321

1.003912

24/10/2025

1.006451

1.004041