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Distributions

Perpetual Select Investment Funds

Distributions


Report Period To Distribution Amount Reinvestment Price  
2022 - 2023 Financial Year 7.0144
August 2022
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7.0144 $0.909 View Report
2021 - 2022 Financial Year 16.3591
June 2022
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15.1916 $0.960 View Report
March 2022
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0.3118 $1.163 View Report
December 2021
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0.3904 $1.210 View Report
September 2021
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0.4653 $1.201 View Report
2020 - 2021 Financial Year 8.3624
June 2021
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8.1458 $1.187 View Report
March 2021
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0.1810 $1.220 View Report
December 2020
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0.0356 $1.205 View Report
September 2020
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0.0000 $1.000 View Report
2019 - 2020 Financial Year 4.5856
June 2020
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3.6679 $1.151 View Report
March 2020
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0.3656 $1.147 View Report
December 2019
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0.2489 $1.227 View Report
September 2019
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0.3032 $1.223 View Report
2018 - 2019 Financial Year 4.7610
June 2019
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3.9280 $1.208 View Report
March 2019
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0.2452 $1.222 View Report
December 2018
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0.4151 $1.178 View Report
September 2018
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0.1727 $1.215 View Report
2017 - 2018 Financial Year 1.6518
June 2018
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1.0900 $1.206 View Report
March 2018
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0.0946 $1.196 View Report
December 2017
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0.2919 $1.201 View Report
September 2017
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0.1753 $1.176 View Report
2016 - 2017 Financial Year 1.4092
June 2017
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0.9478 $1.172 View Report
March 2017
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0.0000 $1.000 View Report
December 2016
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0.2007 $1.158 View Report
September 2016
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0.2606 $1.153 View Report
2015 - 2016 Financial Year 1.8810
June 2016
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1.3773 $1.143 View Report
March 2016
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0.0894 $1.137 View Report
December 2015
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0.0456 $1.140 View Report
September 2015
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0.3687 $1.130 View Report
2014 - 2015 Financial Year 0.7289
June 2015
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0.7289 $1.136 View Report