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

International Equities

Perpetual Select Super Plan

As of Date Entry Price Exit Price

29/08/2022

38.602436

38.517697

26/08/2022

38.632766

38.547960

25/08/2022

39.460409

39.373787

24/08/2022

39.277522

39.191301

23/08/2022

38.943767

38.858279

22/08/2022

39.363528

39.277118

19/08/2022

40.159484

40.071327

18/08/2022

40.326566

40.238042

17/08/2022

40.431988

40.343233

16/08/2022

40.263656

40.175270

15/08/2022

40.162441

40.074278

12/08/2022

39.751023

39.663763

11/08/2022

39.223292

39.137190

10/08/2022

39.301206

39.214933

09/08/2022

39.220802

39.134706

08/08/2022

39.349304

39.262926

05/08/2022

39.753530

39.666264

04/08/2022

39.538867

39.452072

03/08/2022

39.579431

39.492547

02/08/2022

38.980102

38.894534

31/07/2022

39.056493

38.970757

29/07/2022

39.056493

38.970757

28/07/2022

38.795477

38.710314

27/07/2022

38.580672

38.495981

26/07/2022

37.690573

37.607836

25/07/2022

38.180346

38.096534

22/07/2022

38.117673

38.033998

21/07/2022

38.635221

38.550410

20/07/2022

38.381421

38.297167

19/07/2022

38.182835

38.099017