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

04/12/2023

1.528536

1.525181

01/12/2023

1.530589

1.527229

30/11/2023

1.520306

1.516969

29/11/2023

1.517440

1.514109

28/11/2023

1.511659

1.508341

27/11/2023

1.522360

1.519018

24/11/2023

1.528563

1.525208

23/11/2023

1.530216

1.526857

22/11/2023

1.533640

1.530273

21/11/2023

1.523022

1.519679

20/11/2023

1.527487

1.524134

17/11/2023

1.527840

1.524486

16/11/2023

1.527801

1.524447

15/11/2023

1.520802

1.517464

14/11/2023

1.521881

1.518540

13/11/2023

1.515762

1.512435

10/11/2023

1.519770

1.516434

09/11/2023

1.495482

1.492199

08/11/2023

1.505574

1.502269

07/11/2023

1.501508

1.498212

06/11/2023

1.484745

1.481486

03/11/2023

1.482824

1.479569

02/11/2023

1.484278

1.481020

01/11/2023

1.470905

1.467676

31/10/2023

1.467763

1.464541

30/10/2023

1.452818

1.449629

27/10/2023

1.444554

1.441383

26/10/2023

1.455705

1.452509

25/10/2023

1.466099

1.462881

24/10/2023

1.477792

1.474548

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45