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

29/11/2022

3.045758

28/11/2022

3.043377

25/11/2022

3.061848

24/11/2022

3.046012

23/11/2022

3.043549

22/11/2022

3.032390

21/11/2022

3.024247

18/11/2022

3.028210

17/11/2022

3.018350

16/11/2022

3.000472

15/11/2022

3.016272

14/11/2022

3.007511

11/11/2022

3.034716

10/11/2022

2.973282

09/11/2022

2.985688

08/11/2022

2.987521

07/11/2022

2.987045

04/11/2022

2.989705

03/11/2022

3.001684

02/11/2022

3.035464

01/11/2022

3.040215

31/10/2022

2.997950

28/10/2022

2.965340

27/10/2022

2.971213

26/10/2022

2.976294

25/10/2022

2.978581

24/10/2022

2.959684

21/10/2022

2.925809

20/10/2022

2.954701

19/10/2022

2.985449