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Fund Prices

Perpetual ESG Australian Share Fund (Managed Fund)

As of Date Nav per Unit

07/01/2022

3.428431

06/01/2022

3.394927

05/01/2022

3.463618

04/01/2022

3.465768

31/12/2021

3.415419

30/12/2021

3.449215

29/12/2021

3.444364

24/12/2021

3.383388

23/12/2021

3.369195

22/12/2021

3.350249

21/12/2021

3.341274

20/12/2021

3.327302

17/12/2021

3.339745

16/12/2021

3.343860

15/12/2021

3.333519

14/12/2021

3.361803

13/12/2021

3.349120

10/12/2021

3.361993

09/12/2021

3.354691

08/12/2021

3.357789

07/12/2021

3.326355

06/12/2021

3.284945

03/12/2021

3.290014

02/12/2021

3.271021

01/12/2021

3.277001

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211