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 Share Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

16/09/2019

1.342806

1.338123

13/09/2019

1.343184

1.338500

12/09/2019

1.341530

1.336851

11/09/2019

1.338416

1.333748

10/09/2019

1.328175

1.323543

09/09/2019

1.327696

1.323066

06/09/2019

1.331727

1.327083

05/09/2019

1.337883

1.333217

04/09/2019

1.325323

1.320701

03/09/2019

1.315458

1.310870

02/09/2019

1.330112

1.325473

31/08/2019

1.328962

1.324327

30/08/2019

1.328962

1.324327

29/08/2019

1.327573

1.322943

28/08/2019

1.310455

1.305884

27/08/2019

1.303154

1.298609

26/08/2019

1.301733

1.297193

23/08/2019

1.296252

1.291731

22/08/2019

1.320341

1.315735

21/08/2019

1.320959

1.316352

20/08/2019

1.310361

1.305791

19/08/2019

1.319163

1.314562

16/08/2019

1.304680

1.300129

15/08/2019

1.287345

1.282855

14/08/2019

1.293626

1.289114

13/08/2019

1.317134

1.312540

12/08/2019

1.312474

1.307896

09/08/2019

1.319525

1.314923

08/08/2019

1.330087

1.325448

07/08/2019

1.314559

1.309974