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 International Share Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

18/09/2024

1.818018

1.814027

17/09/2024

1.824744

1.820738

16/09/2024

1.832265

1.828243

13/09/2024

1.831721

1.827700

12/09/2024

1.826729

1.822719

11/09/2024

1.827035

1.823024

10/09/2024

1.817026

1.813037

09/09/2024

1.816058

1.812071

06/09/2024

1.789788

1.785859

05/09/2024

1.806349

1.802384

04/09/2024

1.806651

1.802685

03/09/2024

1.816642

1.812654

02/09/2024

1.820608

1.816611

31/08/2024

1.823741

1.819738

30/08/2024

1.823741

1.819738

29/08/2024

1.811411

1.807435

28/08/2024

1.805983

1.802019

27/08/2024

1.816838

1.812850

26/08/2024

1.812222

1.808244

23/08/2024

1.815229

1.811244

22/08/2024

1.813651

1.809670

21/08/2024

1.814932

1.810948

20/08/2024

1.806262

1.802297

19/08/2024

1.817285

1.813296

16/08/2024

1.820634

1.816637

15/08/2024

1.817424

1.813434

14/08/2024

1.797747

1.793801

13/08/2024

1.793646

1.789709

12/08/2024

1.774338

1.770443

09/08/2024

1.782598

1.778685