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

01/10/2025

3.961496

3.953589

30/09/2025

3.927599

3.919759

29/09/2025

3.952367

3.944478

26/09/2025

3.950433

3.942548

25/09/2025

3.946796

3.938918

24/09/2025

3.945723

3.937847

23/09/2025

3.944826

3.936952

22/09/2025

3.971534

3.963607

19/09/2025

3.954818

3.946924

18/09/2025

3.934511

3.926658

17/09/2025

3.874414

3.866681

16/09/2025

3.871867

3.864139

15/09/2025

3.878140

3.870399

12/09/2025

3.865363

3.857648

11/09/2025

3.862451

3.854742

10/09/2025

3.857517

3.849817

09/09/2025

3.872241

3.864512

08/09/2025

3.865102

3.857387

05/09/2025

3.879607

3.871863

04/09/2025

3.912050

3.904242

03/09/2025

3.864561

3.856847

02/09/2025

3.862747

3.855037

01/09/2025

3.869954

3.862230

31/08/2025

3.873386

3.865655

29/08/2025

3.873386

3.865655

28/08/2025

3.906789

3.898991

27/08/2025

3.915284

3.907469

26/08/2025

3.906666

3.898868

25/08/2025

3.901900

3.894112

22/08/2025

3.915051

3.907237