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 International Share Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

11/12/2019

1.707998

1.702041

10/12/2019

1.713143

1.707168

09/12/2019

1.708483

1.702524

06/12/2019

1.714304

1.708325

05/12/2019

1.702855

1.696916

04/12/2019

1.693064

1.687159

03/12/2019

1.688751

1.682861

02/12/2019

1.702322

1.696385

30/11/2019

1.728159

1.722131

29/11/2019

1.728159

1.722131

28/11/2019

1.734840

1.728790

27/11/2019

1.731229

1.725191

26/11/2019

1.723615

1.717604

25/11/2019

1.722845

1.716836

22/11/2019

1.704645

1.698699

21/11/2019

1.698530

1.692606

20/11/2019

1.701021

1.695089

19/11/2019

1.700877

1.694944

18/11/2019

1.702503

1.696565

15/11/2019

1.702356

1.696418

14/11/2019

1.700223

1.694293

13/11/2019

1.685710

1.679830

12/11/2019

1.686225

1.680344

11/11/2019

1.682500

1.676632

08/11/2019

1.682816

1.676947

07/11/2019

1.674425

1.668585

06/11/2019

1.665364

1.659556

05/11/2019

1.663153

1.657353

04/11/2019

1.663537

1.657735

01/11/2019

1.651640

1.645879