What can we help you find?
Search by Topic

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

11/10/2019

4.034389

4.014317

10/10/2019

3.950972

3.931315

09/10/2019

3.936614

3.917029

08/10/2019

3.925806

3.906274

04/10/2019

3.940586

3.920981

03/10/2019

3.906618

3.887182

02/10/2019

3.901014

3.881606

01/10/2019

3.995511

3.975633

30/09/2019

4.024701

4.004677

27/09/2019

3.998582

3.978688

26/09/2019

4.013462

3.993494

25/09/2019

3.955935

3.936253

24/09/2019

3.972239

3.952476

23/09/2019

3.928767

3.909221

20/09/2019

3.938199

3.918606

19/09/2019

3.934203

3.914630

18/09/2019

3.921359

3.901849

17/09/2019

3.900582

3.881176

16/09/2019

3.884564

3.865237

13/09/2019

3.926082

3.906549

12/09/2019

3.948748

3.929103

11/09/2019

3.911739

3.892277

10/09/2019

3.900375

3.880970

09/09/2019

3.911198

3.891739

06/09/2019

3.948905

3.929259

05/09/2019

3.970454

3.950701

04/09/2019

3.961062

3.941356

03/09/2019

3.931101

3.911544

02/09/2019

3.943373

3.923754

31/08/2019

3.931367

3.911808