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

11/08/2022

1.621882

1.618322

10/08/2022

1.624804

1.621237

09/08/2022

1.622193

1.618632

08/08/2022

1.629004

1.625428

05/08/2022

1.644635

1.641025

04/08/2022

1.635776

1.632185

03/08/2022

1.635003

1.631414

02/08/2022

1.610833

1.607297

31/07/2022

1.612752

1.609212

29/07/2022

1.612752

1.609212

28/07/2022

1.600861

1.597347

27/07/2022

1.588709

1.585222

26/07/2022

1.554504

1.551092

25/07/2022

1.574349

1.570893

22/07/2022

1.573775

1.570320

21/07/2022

1.593676

1.590178

20/07/2022

1.582317

1.578844

19/07/2022

1.571979

1.568528

18/07/2022

1.549373

1.545972

15/07/2022

1.557758

1.554338

14/07/2022

1.550755

1.547351

13/07/2022

1.547472

1.544075

12/07/2022

1.557001

1.553583

11/07/2022

1.576165

1.572705

08/07/2022

1.568838

1.565394

07/07/2022

1.576038

1.572578

06/07/2022

1.565986

1.562548

05/07/2022

1.563439

1.560007

04/07/2022

1.552675

1.549267

01/07/2022

1.566031

1.562593

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8