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

09/12/2021

44.304410

44.149885

08/12/2021

44.497064

44.341867

07/12/2021

44.642849

44.487144

06/12/2021

44.262156

44.107779

03/12/2021

43.970704

43.817343

02/12/2021

43.978088

43.824702

01/12/2021

43.127202

42.976783

30/11/2021

43.512498

43.360735

29/11/2021

44.226856

44.072602

26/11/2021

43.915965

43.762795

25/11/2021

44.577421

44.421944

24/11/2021

44.528082

44.372777

23/11/2021

44.425799

44.270851

22/11/2021

44.369671

44.214919

19/11/2021

44.697640

44.541744

18/11/2021

44.917588

44.760925

17/11/2021

44.903412

44.746798

16/11/2021

44.908731

44.752099

15/11/2021

44.594768

44.439231

12/11/2021

44.881012

44.724476

11/11/2021

44.733984

44.577961

10/11/2021

44.372661

44.217898

09/11/2021

44.673729

44.517916

08/11/2021

44.457469

44.302411

05/11/2021

44.396496

44.241650

04/11/2021

44.362184

44.207458

03/11/2021

44.038666

43.885068

02/11/2021

43.873970

43.720947

01/11/2021

43.341549

43.190383

31/10/2021

43.281801

43.130843