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

21/09/2017

1.408824

1.403211

20/09/2017

1.390664

1.385123

19/09/2017

1.401239

1.395657

18/09/2017

1.404098

1.398504

15/09/2017

1.395122

1.389564

14/09/2017

1.398231

1.392661

13/09/2017

1.398091

1.392521

12/09/2017

1.392463

1.386915

11/09/2017

1.389072

1.383538

08/09/2017

1.370545

1.365085

07/09/2017

1.376161

1.370678

06/09/2017

1.378217

1.372726

05/09/2017

1.370080

1.364621

04/09/2017

1.386621

1.381096

01/09/2017

1.384678

1.379161

31/08/2017

1.388068

1.382538

30/08/2017

1.383185

1.377674

29/08/2017

1.365367

1.359927

28/08/2017

1.371720

1.366255

25/08/2017

1.372994

1.367524

24/08/2017

1.376552

1.371068

23/08/2017

1.377079

1.371592

22/08/2017

1.375151

1.369672

21/08/2017

1.359861

1.354443

18/08/2017

1.362542

1.357114

17/08/2017

1.365155

1.359717

16/08/2017

1.383701

1.378189

15/08/2017

1.390333

1.384794

14/08/2017

1.384195

1.378680

11/08/2017

1.369188

1.363733