What can we help you find?

Your search had no results
Other Popular Searches

Unit Prices

Implemented International Share Portfolio

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

19/12/2022

1.608261

1.604731

16/12/2022

1.623212

1.619649

15/12/2022

1.626643

1.623072

14/12/2022

1.632816

1.629232

13/12/2022

1.633017

1.629432

12/12/2022

1.646288

1.642674

09/12/2022

1.626471

1.622901

08/12/2022

1.636094

1.632502

07/12/2022

1.633900

1.630313

06/12/2022

1.648208

1.644590

05/12/2022

1.655927

1.652292

02/12/2022

1.668442

1.664779

01/12/2022

1.665096

1.661441

30/11/2022

1.676676

1.672995

29/11/2022

1.641334

1.637731

28/11/2022

1.645322

1.641710

25/11/2022

1.650376

1.646753

24/11/2022

1.646955

1.643340

23/11/2022

1.652397

1.648770

22/11/2022

1.659676

1.656033

21/11/2022

1.653510

1.649880

18/11/2022

1.639987

1.636387

17/11/2022

1.640795

1.637193

16/11/2022

1.630468

1.626889

15/11/2022

1.639575

1.635976

14/11/2022

1.636321

1.632729

11/11/2022

1.648435

1.644816

10/11/2022

1.644317

1.640707

09/11/2022

1.609682

1.606148

08/11/2022

1.608268

1.604738

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8