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Unit Prices

International Share Fund

Perpetual Select Investment Funds

As of Date Entry Price Exit Price

19/02/2016

0.962540

0.958705

18/02/2016

0.959138

0.955317

17/02/2016

0.955771

0.951963

16/02/2016

0.952699

0.948903

15/02/2016

0.934959

0.931234

12/02/2016

0.933451

0.929732

11/02/2016

0.923624

0.919945

10/02/2016

0.933947

0.930226

09/02/2016

0.935896

0.932167

08/02/2016

0.941690

0.937938

05/02/2016

0.955620

0.951813

04/02/2016

0.950285

0.946499

03/02/2016

0.959427

0.955605

02/02/2016

0.965476

0.961630

01/02/2016

0.978270

0.974373

31/01/2016

0.976849

0.972957

29/01/2016

0.976849

0.972957

28/01/2016

0.953475

0.949676

27/01/2016

0.958997

0.955176

25/01/2016

0.963386

0.959548

22/01/2016

0.964229

0.960388

21/01/2016

0.951579

0.947788

20/01/2016

0.962927

0.959091

19/01/2016

0.967941

0.964085

18/01/2016

0.969121

0.965260

15/01/2016

0.972259

0.968385

14/01/2016

0.978530

0.974631

13/01/2016

0.970057

0.966192

12/01/2016

0.980052

0.976147

11/01/2016

0.974571

0.970688

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45