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

15/04/2026

0.839708

0.838032

14/04/2026

0.838215

0.836542

13/04/2026

0.835679

0.834011

10/04/2026

0.834485

0.832819

09/04/2026

0.835921

0.834252

08/04/2026

0.836868

0.835198

07/04/2026

0.824521

0.822875

02/04/2026

0.821212

0.819573

01/04/2026

0.824162

0.822517

31/03/2026

0.822116

0.820475

30/03/2026

0.814389

0.812763

27/03/2026

0.814686

0.813060

26/03/2026

0.818807

0.817173

25/03/2026

0.822106

0.820465

24/03/2026

0.813999

0.812374

23/03/2026

0.812031

0.810410

20/03/2026

0.811006

0.809387

19/03/2026

0.817284

0.815653

18/03/2026

0.823043

0.821400

17/03/2026

0.823409

0.821765

16/03/2026

0.822860

0.821218

13/03/2026

0.823646

0.822002

12/03/2026

0.823256

0.821613

11/03/2026

0.829034

0.827379

10/03/2026

0.830039

0.828382

09/03/2026

0.829475

0.827819

06/03/2026

0.838734

0.837060

05/03/2026

0.843709

0.842025

04/03/2026

0.840850

0.839172

03/03/2026

0.848492

0.846798