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

12/03/2019

3.715128

3.696645

11/03/2019

3.712800

3.694329

08/03/2019

3.710252

3.691793

07/03/2019

3.718433

3.699933

06/03/2019

3.701094

3.682681

05/03/2019

3.685896

3.667558

04/03/2019

3.703741

3.685314

01/03/2019

3.707354

3.688909

28/02/2019

3.708579

3.690128

27/02/2019

3.689910

3.671553

26/02/2019

3.710235

3.691776

25/02/2019

3.718675

3.700174

22/02/2019

3.725675

3.707140

21/02/2019

3.724311

3.705782

20/02/2019

3.703215

3.684791

19/02/2019

3.680475

3.662164

18/02/2019

3.667145

3.648901

15/02/2019

3.656790

3.638597

14/02/2019

3.659344

3.641138

13/02/2019

3.654883

3.636700

12/02/2019

3.650469

3.632308

11/02/2019

3.640640

3.622528

08/02/2019

3.612209

3.594238

07/02/2019

3.633881

3.615802

06/02/2019

3.650942

3.632778

05/02/2019

3.651351

3.633185

04/02/2019

3.624634

3.606601

01/02/2019

3.619137

3.601131

31/01/2019

3.621179

3.603163

30/01/2019

3.622549

3.604526