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

09/03/2022

39.187421

39.101398

08/03/2022

38.266432

38.182431

07/03/2022

37.971797

37.888442

04/03/2022

39.028135

38.942462

03/03/2022

40.056058

39.968128

02/03/2022

40.885071

40.795321

01/03/2022

40.342184

40.253626

28/02/2022

41.030974

40.940904

25/02/2022

41.313437

41.222747

24/02/2022

41.045667

40.955565

23/02/2022

40.149878

40.061742

22/02/2022

40.855939

40.766253

21/02/2022

41.246443

41.155900

18/02/2022

41.591446

41.500146

17/02/2022

41.759696

41.668026

16/02/2022

42.659917

42.566271

15/02/2022

42.863799

42.769706

14/02/2022

42.253589

42.160835

11/02/2022

42.324594

42.231684

10/02/2022

42.590256

42.496763

09/02/2022

43.424029

43.328706

08/02/2022

42.988455

42.894088

07/02/2022

42.679908

42.586218

04/02/2022

43.139940

43.045240

03/02/2022

42.303426

42.210563

02/02/2022

43.156994

43.062257

01/02/2022

43.101636

43.007021

31/01/2022

43.197643

43.046979

28/01/2022

42.728180

42.579153

27/01/2022

42.005026

41.858521