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

02/05/2019

1.629079

1.623397

01/05/2019

1.622527

1.616868

30/04/2019

1.631559

1.625059

29/04/2019

1.628675

1.622186

26/04/2019

1.628219

1.621732

24/04/2019

1.627112

1.620629

23/04/2019

1.616125

1.609686

18/04/2019

1.593025

1.586678

17/04/2019

1.587940

1.581614

16/04/2019

1.593851

1.587501

15/04/2019

1.591438

1.585098

12/04/2019

1.591749

1.585408

11/04/2019

1.592149

1.585806

10/04/2019

1.591980

1.585637

09/04/2019

1.587014

1.580691

08/04/2019

1.597691

1.591326

05/04/2019

1.599179

1.592807

04/04/2019

1.591000

1.584661

03/04/2019

1.589200

1.582868

02/04/2019

1.591358

1.585018

01/04/2019

1.579208

1.572916

31/03/2019

1.568768

1.562518

29/03/2019

1.568768

1.562518

28/03/2019

1.561524

1.555302

27/03/2019

1.560566

1.554349

26/03/2019

1.551599

1.545417

25/03/2019

1.547709

1.541543

22/03/2019

1.556264

1.550064

21/03/2019

1.581636

1.575335

20/03/2019

1.576017

1.569738