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

16/06/2023

1.764578

1.760704

15/06/2023

1.770084

1.766198

14/06/2023

1.762085

1.758217

13/06/2023

1.767115

1.763236

09/06/2023

1.748884

1.745045

08/06/2023

1.758409

1.754549

07/06/2023

1.763429

1.759558

06/06/2023

1.770612

1.766725

05/06/2023

1.775786

1.771888

02/06/2023

1.778479

1.774575

01/06/2023

1.765353

1.761478

31/05/2023

1.765868

1.761992

30/05/2023

1.770633

1.766746

29/05/2023

1.769112

1.765228

26/05/2023

1.778656

1.774752

25/05/2023

1.759894

1.756031

24/05/2023

1.752023

1.748177

23/05/2023

1.749422

1.745582

22/05/2023

1.763756

1.759884

19/05/2023

1.752086

1.748240

18/05/2023

1.763448

1.759577

17/05/2023

1.744298

1.740469

16/05/2023

1.730477

1.726678

15/05/2023

1.732267

1.728464

12/05/2023

1.727923

1.724130

11/05/2023

1.717872

1.714101

10/05/2023

1.707020

1.703273

09/05/2023

1.703066

1.699327

08/05/2023

1.705886

1.702141

05/05/2023

1.712020

1.708262

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45