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

15/12/2014

1.103063

1.098669

12/12/2014

1.111203

1.106776

11/12/2014

1.125701

1.121216

10/12/2014

1.119604

1.115143

09/12/2014

1.127654

1.123161

08/12/2014

1.135372

1.130849

05/12/2014

1.140884

1.136339

04/12/2014

1.130570

1.126066

03/12/2014

1.129348

1.124848

02/12/2014

1.123233

1.118758

01/12/2014

1.116728

1.112279

30/11/2014

1.118168

1.113713

28/11/2014

1.118168

1.113713

27/11/2014

1.121560

1.117092

26/11/2014

1.123948

1.119470

25/11/2014

1.122057

1.117587

24/11/2014

1.111711

1.107282

21/11/2014

1.103113

1.098718

20/11/2014

1.101875

1.097485

19/11/2014

1.100962

1.096576

18/11/2014

1.087557

1.083224

17/11/2014

1.083542

1.079225

14/11/2014

1.083808

1.079490

13/11/2014

1.083070

1.078755

Preproduction: 20241113.2 - 17.0.1+1254d9d36ff8a15a8e363672a459ef7ed9e47638