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

10/08/2023

1.553609

1.550199

09/08/2023

1.555931

1.552515

08/08/2023

1.564300

1.560866

04/08/2023

1.546873

1.543477

03/08/2023

1.548607

1.545208

02/08/2023

1.553618

1.550208

01/08/2023

1.553503

1.550093

31/07/2023

1.533408

1.530042

28/07/2023

1.544983

1.541591

27/07/2023

1.519373

1.516038

26/07/2023

1.523567

1.520223

25/07/2023

1.515361

1.512035

24/07/2023

1.516936

1.513606

21/07/2023

1.522149

1.518808

20/07/2023

1.514113

1.510789

19/07/2023

1.532765

1.529400

17/07/2023

1.505492

1.502187

14/07/2023

1.493276

1.489998

13/07/2023

1.485746

1.482485

12/07/2023

1.489731

1.486461

11/07/2023

1.504943

1.501639

10/07/2023

1.492483

1.489207

07/07/2023

1.480128

1.476879

06/07/2023

1.489998

1.486727

05/07/2023

1.499392

1.496101

04/07/2023

1.499482

1.496190

03/07/2023

1.503154

1.499854

30/06/2023

1.512384

1.509064

29/06/2023

1.502649

1.499350

28/06/2023

1.507606

1.504297