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

14/12/2017

1.517370

1.511325

13/12/2017

1.531738

1.525635

12/12/2017

1.543085

1.536937

11/12/2017

1.545806

1.539648

08/12/2017

1.546774

1.540611

07/12/2017

1.536573

1.530451

06/12/2017

1.520891

1.514832

05/12/2017

1.516847

1.510804

04/12/2017

1.522596

1.516530

01/12/2017

1.523238

1.517169

30/11/2017

1.531414

1.525313

29/11/2017

1.528085

1.521997

28/11/2017

1.530630

1.524532

27/11/2017

1.518571

1.512521

24/11/2017

1.521159

1.515099

23/11/2017

1.516320

1.510279

22/11/2017

1.522855

1.516788

21/11/2017

1.521959

1.515895

20/11/2017

1.516639

1.510596

17/11/2017

1.515055

1.509019

16/11/2017

1.504875

1.498880

15/11/2017

1.493415

1.487465

14/11/2017

1.493173

1.487224

13/11/2017

1.492046

1.486101

10/11/2017

1.488200

1.482271

09/11/2017

1.492713

1.486766

08/11/2017

1.497578

1.491611

07/11/2017

1.501569

1.495587

06/11/2017

1.499320

1.493347

03/11/2017

1.495562

1.489604