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")

Unit Prices

T.Rowe Price Global Equity

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

07/08/2025

3.852316

3.844627

06/08/2025

3.849065

3.841382

05/08/2025

3.849639

3.841955

01/08/2025

3.809673

3.802069

31/07/2025

3.881443

3.873696

30/07/2025

3.880198

3.872453

29/07/2025

3.859837

3.852133

28/07/2025

3.856224

3.848527

25/07/2025

3.843743

3.836071

24/07/2025

3.815948

3.808331

23/07/2025

3.814459

3.806845

22/07/2025

3.806339

3.798742

21/07/2025

3.825169

3.817534

18/07/2025

3.821234

3.813607

17/07/2025

3.843166

3.835495

16/07/2025

3.803947

3.796354

15/07/2025

3.796307

3.788730

14/07/2025

3.779906

3.772361

11/07/2025

3.766296

3.758778

10/07/2025

3.786403

3.778845

09/07/2025

3.795557

3.787981

08/07/2025

3.786457

3.778899

07/07/2025

3.789769

3.782205

04/07/2025

3.787294

3.779735

03/07/2025

3.780749

3.773203

02/07/2025

3.753762

3.746269

01/07/2025

3.741381

3.733913

30/06/2025

3.765278

3.757762

27/06/2025

3.773074

3.765543

26/06/2025

3.743165

3.735694