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Unit Prices

Perpetual Select Real Estate Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

24/04/2025

1.096059

1.093435

23/04/2025

1.089666

1.087057

22/04/2025

1.080321

1.077734

17/04/2025

1.083550

1.080956

16/04/2025

1.070432

1.067869

15/04/2025

1.067012

1.064457

14/04/2025

1.069865

1.067303

11/04/2025

1.058807

1.056272

10/04/2025

1.059130

1.056594

09/04/2025

1.054071

1.051547

08/04/2025

1.046149

1.043644

07/04/2025

1.043465

1.040967

04/04/2025

1.078280

1.075698

03/04/2025

1.086193

1.083592

02/04/2025

1.108898

1.106243

01/04/2025

1.102090

1.099451

31/03/2025

1.094064

1.091445

28/03/2025

1.098619

1.095989

27/03/2025

1.102467

1.099827

26/03/2025

1.116481

1.113808

25/03/2025

1.107121

1.104470

24/03/2025

1.110394

1.107735

21/03/2025

1.105387

1.102740

20/03/2025

1.106066

1.103418

19/03/2025

1.092822

1.090206

18/03/2025

1.098222

1.095593

17/03/2025

1.095504

1.092881

14/03/2025

1.089566

1.086957

13/03/2025

1.084966

1.082368

12/03/2025

1.091681

1.089067