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

04/08/2021

1.941857

1.935084

03/08/2021

1.946340

1.939551

31/07/2021

1.939750

1.932985

30/07/2021

1.939750

1.932985

29/07/2021

1.937090

1.930334

28/07/2021

1.940203

1.933436

27/07/2021

1.921131

1.914431

26/07/2021

1.930207

1.923475

23/07/2021

1.939510

1.932745

22/07/2021

1.921354

1.914652

21/07/2021

1.924535

1.917822

20/07/2021

1.911451

1.904785

19/07/2021

1.888234

1.881648

16/07/2021

1.902386

1.895751

15/07/2021

1.906581

1.899931

14/07/2021

1.905443

1.898797

13/07/2021

1.912088

1.905419

12/07/2021

1.910055

1.903393

09/07/2021

1.906060

1.899412

08/07/2021

1.900727

1.894097

07/07/2021

1.909676

1.903016

06/07/2021

1.900575

1.893947

05/07/2021

1.899936

1.893309

02/07/2021

1.908504

1.901847

01/07/2021

1.905156

1.898511

30/06/2021

2.013533

2.006510

29/06/2021

2.015980

2.008949

28/06/2021

2.001613

1.994632

25/06/2021

1.997557

1.990590

24/06/2021

1.993432

1.986479