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Fund Prices

Perpetual ESG Australian Share Fund (Managed Fund)

As of Date Nav per Unit

21/02/2024

3.147320

20/02/2024

3.156881

19/02/2024

3.137700

16/02/2024

3.105748

15/02/2024

3.103303

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

02/02/2024

3.071585

01/02/2024

3.040164

31/01/2024

3.063385

30/01/2024

3.035832

29/01/2024

3.031730

25/01/2024

3.021506

24/01/2024

3.009132

23/01/2024

3.007006

22/01/2024

2.994791

19/01/2024

2.970052

18/01/2024

2.936738

17/01/2024

2.937096

16/01/2024

2.940999

15/01/2024

2.961615

12/01/2024

2.961863

11/01/2024

2.971691

10/01/2024

2.955372

Integration: 20241104.3 - develop+9b9ea19dbc3c75b702dd4625973ea56576292211