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

04/12/2025

4.042782

4.034713

03/12/2025

4.039867

4.031803

02/12/2025

4.040998

4.032932

01/12/2025

4.033853

4.025801

30/11/2025

4.054274

4.046182

28/11/2025

4.054274

4.046182

27/11/2025

4.047184

4.039106

25/11/2025

4.068020

4.059900

24/11/2025

4.029975

4.021931

21/11/2025

3.981253

3.973306

20/11/2025

3.957165

3.949266

19/11/2025

4.016622

4.008605

18/11/2025

3.988890

3.980928

17/11/2025

4.019250

4.011228

14/11/2025

4.023187

4.015157

13/11/2025

4.038661

4.030600

12/11/2025

4.109840

4.101637

11/11/2025

4.108766

4.100565

10/11/2025

4.110446

4.102242

07/11/2025

4.077124

4.068986

06/11/2025

4.089632

4.081469

05/11/2025

4.106359

4.098163

04/11/2025

4.102350

4.094162

03/11/2025

4.144771

4.136498

31/10/2025

4.118572

4.110351

30/10/2025

4.107590

4.099391

29/10/2025

4.120648

4.112423

28/10/2025

4.117927

4.109708

27/10/2025

4.128936

4.120695

24/10/2025

4.113400

4.105190