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Unit Prices

International Share Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

10/09/2015

1.017128

1.013076

09/09/2015

1.024526

1.020444

08/09/2015

1.027117

1.023025

07/09/2015

1.022419

1.018345

04/09/2015

1.020163

1.016099

03/09/2015

1.024273

1.020193

02/09/2015

1.020834

1.016767

01/09/2015

1.007927

1.003912

31/08/2015

1.026657

1.022567

28/08/2015

1.024097

1.020017

27/08/2015

1.020390

1.016324

26/08/2015

1.005365

1.001360

25/08/2015

0.979970

0.976065

24/08/2015

0.978656

0.974757

21/08/2015

0.994521

0.990559

20/08/2015

1.020761

1.016694

19/08/2015

1.037920

1.033785

18/08/2015

1.047853

1.043678

17/08/2015

1.043746

1.039588

14/08/2015

1.043971

1.039812

13/08/2015

1.044758

1.040595

12/08/2015

1.042372

1.038219

11/08/2015

1.059215

1.054995

10/08/2015

1.055253

1.051049

07/08/2015

1.045369

1.041204

06/08/2015

1.054525

1.050323

05/08/2015

1.059656

1.055435

04/08/2015

1.045354

1.041189

31/07/2015

1.061459

1.057230

30/07/2015

1.068263

1.064007