What can we help you find?

Your search had no results
Other Popular Searches

Unit Prices

Implemented Fixed Income Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

04/06/2015

1.038833

1.037381

03/06/2015

1.041220

1.039764

02/06/2015

1.043264

1.041806

01/06/2015

1.044078

1.042618

31/05/2015

1.043466

1.042007

29/05/2015

1.043466

1.042007

28/05/2015

1.042181

1.040724

27/05/2015

1.041210

1.039754

26/05/2015

1.039780

1.038326

25/05/2015

1.040180

1.038726

22/05/2015

1.039778

1.038325

21/05/2015

1.039054

1.037601

20/05/2015

1.038488

1.037036

19/05/2015

1.038870

1.037418

18/05/2015

1.039660

1.038206

15/05/2015

1.038811

1.037359

14/05/2015

1.037126

1.035676

13/05/2015

1.037567

1.036117

12/05/2015

1.036054

1.034606

11/05/2015

1.039472

1.038019

08/05/2015

1.038820

1.037368

07/05/2015

1.036963

1.035514

06/05/2015

1.037904

1.036452

05/05/2015

1.040201

1.038747

04/05/2015

1.042152

1.040695

01/05/2015

1.041819

1.040363

30/04/2015

1.041776

1.040320

29/04/2015

1.041900

1.040444

28/04/2015

1.042400

1.040943

27/04/2015

1.043442

1.041983

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8