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

20/01/2026

1.649397

1.645776

19/01/2026

1.678422

1.674738

16/01/2026

1.687839

1.684134

15/01/2026

1.684355

1.680658

14/01/2026

1.685393

1.681693

13/01/2026

1.684288

1.680591

12/01/2026

1.683870

1.680174

09/01/2026

1.692244

1.688529

08/01/2026

1.680691

1.677002

07/01/2026

1.675643

1.671965

06/01/2026

1.679789

1.676102

05/01/2026

1.666981

1.663322

02/01/2026

1.653077

1.649448

31/12/2025

1.654259

1.650628

30/12/2025

1.655681

1.652046

29/12/2025

1.656926

1.653289

24/12/2025

1.654330

1.650698

23/12/2025

1.655805

1.652170

22/12/2025

1.658504

1.654863

19/12/2025

1.655896

1.652261

18/12/2025

1.642995

1.639388

17/12/2025

1.634354

1.630766

16/12/2025

1.634246

1.630659

15/12/2025

1.641935

1.638331

12/12/2025

1.647252

1.643636

11/12/2025

1.648679

1.645060

10/12/2025

1.647738

1.644121

09/12/2025

1.633199

1.629614

08/12/2025

1.641765

1.638161

05/12/2025

1.641924

1.638320