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

Implemented Real Estate Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/12/2025

1.839247

1.834843

03/12/2025

1.861208

1.856752

02/12/2025

1.859757

1.855304

01/12/2025

1.860592

1.856137

30/11/2025

1.875825

1.871334

28/11/2025

1.875825

1.871334

27/11/2025

1.880136

1.875634

26/11/2025

1.876272

1.871780

25/11/2025

1.873932

1.869445

24/11/2025

1.867285

1.862814

21/11/2025

1.850783

1.846352

20/11/2025

1.852044

1.847610

19/11/2025

1.845352

1.840934

18/11/2025

1.840395

1.835989

17/11/2025

1.850446

1.846016

14/11/2025

1.841627

1.837218

13/11/2025

1.851463

1.847030

12/11/2025

1.882200

1.877694

11/11/2025

1.886674

1.882157

10/11/2025

1.867028

1.862558

07/11/2025

1.874685

1.870197

06/11/2025

1.863571

1.859109

05/11/2025

1.854062

1.849623

04/11/2025

1.865691

1.861224

03/11/2025

1.869670

1.865194

31/10/2025

1.873528

1.869042

30/10/2025

1.870723

1.866244

29/10/2025

1.883793

1.879283

28/10/2025

1.918776

1.914182

27/10/2025

1.935631

1.930997