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

Diversified Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

19/01/2026

1.040821

1.038744

16/01/2026

1.044331

1.042247

15/01/2026

1.042460

1.040379

14/01/2026

1.042011

1.039931

13/01/2026

1.041294

1.039216

12/01/2026

1.039675

1.037600

09/01/2026

1.040060

1.037984

08/01/2026

1.038004

1.035932

07/01/2026

1.035355

1.033288

06/01/2026

1.034547

1.032482

05/01/2026

1.032836

1.030774

02/01/2026

1.030227

1.028171

31/12/2025

1.034193

1.032129

30/12/2025

1.034329

1.032264

29/12/2025

1.034641

1.032576

24/12/2025

1.034346

1.032281

23/12/2025

1.034710

1.032645

22/12/2025

1.032554

1.030493

19/12/2025

1.030789

1.028732

18/12/2025

1.027567

1.025516

17/12/2025

1.025371

1.023324

16/12/2025

1.025531

1.023484

15/12/2025

1.027772

1.025721

12/12/2025

1.029323

1.027268

11/12/2025

1.027554

1.025503

10/12/2025

1.026622

1.024573

09/12/2025

1.025108

1.023062

08/12/2025

1.028779

1.026726

05/12/2025

1.029321

1.027266

04/12/2025

1.029840

1.027784