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

05/04/2016

0.963808

0.959968

04/04/2016

0.964976

0.961132

01/04/2016

0.960395

0.956568

31/03/2016

0.957973

0.954157

30/03/2016

0.960956

0.957127

29/03/2016

0.965920

0.962071

24/03/2016

0.964497

0.960654

23/03/2016

0.967429

0.963575

22/03/2016

0.962154

0.958320

21/03/2016

0.966681

0.962830

18/03/2016

0.964051

0.960210

17/03/2016

0.958237

0.954419

16/03/2016

0.970403

0.966537

15/03/2016

0.964159

0.960318

14/03/2016

0.962840

0.959004

11/03/2016

0.957453

0.953638

10/03/2016

0.955150

0.951344

09/03/2016

0.949024

0.945243

08/03/2016

0.953989

0.950189

07/03/2016

0.958306

0.954488

04/03/2016

0.965981

0.962133

03/03/2016

0.964252

0.960411

02/03/2016

0.972326

0.968452

01/03/2016

0.978565

0.974666

29/02/2016

0.963007

0.959170

26/02/2016

0.964723

0.960880

25/02/2016

0.957342

0.953528

24/02/2016

0.950085

0.946300

23/02/2016

0.947304

0.943530

22/02/2016

0.955567

0.951760

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45