What can we help you find?
Search by Topic

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 Australian Share Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/08/2017

1.173295

1.169319

03/08/2017

1.176200

1.172214

02/08/2017

1.175616

1.171633

01/08/2017

1.179079

1.175083

31/07/2017

1.173382

1.169406

28/07/2017

1.169782

1.165818

27/07/2017

1.181793

1.177788

26/07/2017

1.181507

1.177504

25/07/2017

1.174388

1.170409

24/07/2017

1.169151

1.165190

21/07/2017

1.175357

1.171375

20/07/2017

1.179144

1.175149

19/07/2017

1.176742

1.172754

18/07/2017

1.172364

1.168392

17/07/2017

1.183309

1.179300

14/07/2017

1.185263

1.181247

13/07/2017

1.178830

1.174835

12/07/2017

1.170308

1.166342

11/07/2017

1.177910

1.173919

10/07/2017

1.177761

1.173770

07/07/2017

1.173881

1.169903

06/07/2017

1.181723

1.177718

05/07/2017

1.181827

1.177822

04/07/2017

1.183372

1.179362

03/07/2017

1.168488

1.164529

30/06/2017

1.189361

1.185331

29/06/2017

1.202443

1.198369

28/06/2017

1.191121

1.187084

27/06/2017

1.184597

1.180583

26/06/2017

1.185274

1.181258