What can we help you find?
Search by Topic

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")

Fund Prices

Perpetual ESG Australian Share Fund (Managed Fund)

As of Date Nav per Unit

02/04/2024

3.289821

31/03/2024

3.310129

28/03/2024

3.310129

27/03/2024

3.269301

26/03/2024

3.258298

25/03/2024

3.264794

21/03/2024

3.255674

20/03/2024

3.224760

19/03/2024

3.216509

18/03/2024

3.227764

15/03/2024

3.227359

14/03/2024

3.241386

13/03/2024

3.248252

12/03/2024

3.240085

11/03/2024

3.225688

07/03/2024

3.241152

06/03/2024

3.207431

05/03/2024

3.200751

04/03/2024

3.183505

01/03/2024

3.196135

29/02/2024

3.186001

27/02/2024

3.163744

14/02/2024

3.089128

13/02/2024

3.112068

12/02/2024

3.101760

09/02/2024

3.105235

08/02/2024

3.097288

07/02/2024

3.085165

06/02/2024

3.062798

05/02/2024

3.064568

Preproduction: 20240910.1 - 14.0.1+06f7560948da0af970fddf980872025495e211b2