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

25/01/2022

41.888106

41.742009

24/01/2022

42.652716

42.503952

21/01/2022

42.303442

42.155896

20/01/2022

42.623233

42.474572

19/01/2022

43.042027

42.891905

18/01/2022

43.508839

43.357089

17/01/2022

44.141627

43.987670

14/01/2022

44.036998

43.883406

13/01/2022

43.630290

43.478117

12/01/2022

44.092933

43.939146

11/01/2022

44.352364

44.197672

10/01/2022

44.007151

43.853663

07/01/2022

44.117069

43.963198

06/01/2022

44.348935

44.194255

05/01/2022

43.723355

43.570857

04/01/2022

44.569052

44.413604

31/12/2021

44.152699

43.998704

30/12/2021

44.321345

44.166761

29/12/2021

44.309491

44.154949

24/12/2021

44.072052

43.918338

23/12/2021

44.032210

43.878635

22/12/2021

43.959466

43.806144

21/12/2021

44.033480

43.879900

20/12/2021

43.270144

43.119227

17/12/2021

43.700937

43.548517

16/12/2021

43.688234

43.535858

15/12/2021

44.170467

44.016410

14/12/2021

43.866867

43.713868

13/12/2021

44.197108

44.042958

10/12/2021

44.214750

44.060538