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")

Fund Prices

Perpetual ESG Australian Share Fund (Managed Fund)

As of Date Nav per Unit

07/11/2024

3.178789

06/11/2024

3.153125

05/11/2024

3.134057

04/11/2024

3.152652

01/11/2024

3.140260

31/10/2024

3.160117

30/10/2024

3.169822

29/10/2024

3.184022

28/10/2024

3.177644

25/10/2024

3.179620

24/10/2024

3.187156

23/10/2024

3.193212

22/10/2024

3.196587

21/10/2024

3.224712

18/10/2024

3.222072

17/10/2024

3.253026

16/10/2024

3.235213

15/10/2024

3.261412

14/10/2024

3.230841

11/10/2024

3.221170

10/10/2024

3.226758

09/10/2024

3.216592

08/10/2024

3.201083

07/10/2024

3.216645

04/10/2024

3.191978

03/10/2024

3.202436

02/10/2024

3.208677

01/10/2024

3.216265

30/09/2024

3.208277

27/09/2024

3.201057

Preproduction: 20241125.1 - 17.0.2+568f6a8d9f9a4b9da39fa66b7013ede1589c7de8