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

Lazard Global Listed Infrastructure

Perpetual WealthFocus Account Based Pension Plan

As of Date Entry Price Exit Price

03/06/2022

4.619886

4.596901

02/06/2022

4.621842

4.598848

01/06/2022

4.607060

4.584139

31/05/2022

4.623018

4.600018

30/05/2022

4.656272

4.633106

27/05/2022

4.658826

4.635648

26/05/2022

4.666044

4.642830

25/05/2022

4.689867

4.666534

24/05/2022

4.672296

4.649051

23/05/2022

4.660714

4.637526

20/05/2022

4.620965

4.597975

19/05/2022

4.608150

4.585224

18/05/2022

4.673373

4.650122

17/05/2022

4.683969

4.660666

16/05/2022

4.663065

4.639866

13/05/2022

4.628756

4.605727

12/05/2022

4.557050

4.534378

11/05/2022

4.594690

4.571831

10/05/2022

4.546975

4.524353

09/05/2022

4.546928

4.524306

06/05/2022

4.601732

4.578838

05/05/2022

4.648637

4.625509

04/05/2022

4.658381

4.635205

03/05/2022

4.632947

4.609898

02/05/2022

4.616961

4.593991

30/04/2022

4.649388

4.626257

29/04/2022

4.649388

4.626257

28/04/2022

4.719613

4.696132

27/04/2022

4.687038

4.663719

26/04/2022

4.670844

4.647606