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 Australian Share Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

07/12/2015

1.075237

1.071594

04/12/2015

1.073009

1.069373

03/12/2015

1.084460

1.080786

02/12/2015

1.089575

1.085883

01/12/2015

1.090562

1.086867

30/11/2015

1.075326

1.071682

27/11/2015

1.079299

1.075642

26/11/2015

1.081757

1.078091

25/11/2015

1.078784

1.075129

24/11/2015

1.084120

1.080446

23/11/2015

1.093286

1.089581

20/11/2015

1.088087

1.084400

19/11/2015

1.085175

1.081498

18/11/2015

1.066788

1.063174

17/11/2015

1.063824

1.060219

16/11/2015

1.045562

1.042019

13/11/2015

1.052962

1.049394

12/11/2015

1.065679

1.062068

11/11/2015

1.067049

1.063433

10/11/2015

1.060298

1.056706

09/11/2015

1.063311

1.059708

06/11/2015

1.078836

1.075181

05/11/2015

1.073438

1.069801

04/11/2015

1.079913

1.076254

03/11/2015

1.079190

1.075534

02/11/2015

1.066743

1.063129

31/10/2015

1.076690

1.073042

30/10/2015

1.076690

1.073042

29/10/2015

1.078280

1.074627

28/10/2015

1.089702

1.086009