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

02/08/2024

1.503440

1.500140

01/08/2024

1.528152

1.524797

31/07/2024

1.541523

1.538139

30/07/2024

1.523412

1.520068

29/07/2024

1.526690

1.523339

26/07/2024

1.522901

1.519558

25/07/2024

1.505273

1.501969

24/07/2024

1.502158

1.498861

23/07/2024

1.522603

1.519261

22/07/2024

1.519139

1.515804

19/07/2024

1.493636

1.490357

18/07/2024

1.496532

1.493247

17/07/2024

1.508127

1.504816

16/07/2024

1.524211

1.520865

15/07/2024

1.504491

1.501188

12/07/2024

1.504476

1.501173

11/07/2024

1.491811

1.488536

10/07/2024

1.501413

1.498117

09/07/2024

1.492186

1.488910

08/07/2024

1.493658

1.490379

05/07/2024

1.498309

1.495020

04/07/2024

1.495412

1.492129

03/07/2024

1.494081

1.490801

02/07/2024

1.500047

1.496754

01/07/2024

1.495706

1.492423

30/06/2024

1.691723

1.688009

28/06/2024

1.691723

1.688009

27/06/2024

1.701952

1.698216

26/06/2024

1.705057

1.701314

25/06/2024

1.711303

1.707546