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

07/11/2023

2.797832

06/11/2023

2.791822

03/11/2023

2.792783

02/11/2023

2.767293

01/11/2023

2.728009

31/10/2023

2.712693

30/10/2023

2.698056

27/10/2023

2.792709

26/10/2023

2.809649

25/10/2023

2.830680

24/10/2023

2.855640

23/10/2023

2.861190

20/10/2023

2.871520

19/10/2023

2.885580

18/10/2023

2.903092

17/10/2023

2.921989

16/10/2023

2.924179

13/10/2023

2.942496

12/10/2023

2.964751

11/10/2023

2.953952

10/10/2023

2.933765

09/10/2023

2.913060

06/10/2023

2.918918

05/10/2023

2.906681

04/10/2023

2.895182

03/10/2023

2.920914

02/10/2023

2.948549

30/09/2023

2.965960

29/09/2023

2.965960

28/09/2023

2.965253

Integration: 20240923.2 - WEBSITE-1098-OptiUpgrade+ed8d8842b1aeb15d6ccbe8227b1b54d35052493f