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

18/09/2019

1.638295

1.632581

17/09/2019

1.634868

1.629166

16/09/2019

1.632403

1.626709

13/09/2019

1.632708

1.627014

12/09/2019

1.630646

1.624959

11/09/2019

1.626805

1.621131

10/09/2019

1.614323

1.608693

09/09/2019

1.613691

1.608063

06/09/2019

1.618432

1.612787

05/09/2019

1.625853

1.620183

04/09/2019

1.610556

1.604939

03/09/2019

1.598530

1.592955

02/09/2019

1.616268

1.610631

31/08/2019

1.614720

1.609088

30/08/2019

1.614720

1.609088

29/08/2019

1.612983

1.607357

28/08/2019

1.592152

1.586599

27/08/2019

1.583240

1.577718

26/08/2019

1.581454

1.575938

23/08/2019

1.574652

1.569160

22/08/2019

1.603842

1.598248

21/08/2019

1.604543

1.598947

20/08/2019

1.591628

1.586077

19/08/2019

1.602262

1.596674

16/08/2019

1.584529

1.579003

15/08/2019

1.563437

1.557984

14/08/2019

1.571012

1.565533

13/08/2019

1.599499

1.593920

12/08/2019

1.593797

1.588239

09/08/2019

1.602197

1.596609