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

08/01/2019

27.691651

27.581326

07/01/2019

27.458979

27.349581

04/01/2019

27.326562

27.217691

03/01/2019

26.901711

26.794533

02/01/2019

27.351514

27.242544

31/12/2018

27.238366

27.129846

28/12/2018

27.079399

26.971513

27/12/2018

27.071000

26.963147

24/12/2018

26.101153

25.997165

21/12/2018

26.340822

26.235878

20/12/2018

26.609605

26.503590

19/12/2018

26.744457

26.637905

18/12/2018

26.932613

26.825312

17/12/2018

26.911155

26.803939

14/12/2018

27.337526

27.228612

13/12/2018

27.547521

27.437770

12/12/2018

27.624025

27.513970

11/12/2018

27.355596

27.246610

10/12/2018

27.376926

27.267855

07/12/2018

27.418401

27.309164

06/12/2018

27.842890

27.731962

05/12/2018

27.886235

27.775135

04/12/2018

27.593731

27.483796

03/12/2018

28.306170

28.193396

30/11/2018

28.118519

28.006493

29/11/2018

27.987336

27.875833

28/11/2018

28.339941

28.227033

27/11/2018

27.841128

27.730207

26/11/2018

27.839695

27.728780

23/11/2018

27.469258

27.359819