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

11/02/2015

1.135482

1.131635

10/02/2015

1.139018

1.135158

09/02/2015

1.140741

1.136875

06/02/2015

1.142119

1.138249

05/02/2015

1.139471

1.135610

04/02/2015

1.137109

1.133256

03/02/2015

1.125055

1.121243

02/02/2015

1.111110

1.107345

31/01/2015

1.104674

1.100931

30/01/2015

1.104674

1.100931

29/01/2015

1.101308

1.097576

28/01/2015

1.099028

1.095304

27/01/2015

1.098455

1.094733

23/01/2015

1.091661

1.087962

22/01/2015

1.079376

1.075719

21/01/2015

1.074413

1.070772

20/01/2015

1.061671

1.058074

19/01/2015

1.061701

1.058103

16/01/2015

1.059572

1.055982

15/01/2015

1.064971

1.061362

14/01/2015

1.069648

1.066024

13/01/2015

1.077504

1.073853

12/01/2015

1.079195

1.075539

09/01/2015

1.085990

1.082310

08/01/2015

1.072096

1.068464

07/01/2015

1.067417

1.063800

06/01/2015

1.070190

1.066564

05/01/2015

1.085974

1.082295

02/01/2015

1.084682

1.081006

31/12/2014

1.087748

1.084062