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Unit Prices

Lazard Global Listed Infrastructure

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

31/12/2022

4.400848

4.378953

30/12/2022

4.400848

4.378953

29/12/2022

4.447075

4.424950

28/12/2022

4.416828

4.394854

23/12/2022

4.444909

4.422795

22/12/2022

4.435583

4.413515

21/12/2022

4.451233

4.429088

20/12/2022

4.415431

4.393464

19/12/2022

4.445437

4.423320

16/12/2022

4.458041

4.435862

15/12/2022

4.528626

4.506096

14/12/2022

4.600606

4.577717

13/12/2022

4.603289

4.580387

12/12/2022

4.573650

4.550896

09/12/2022

4.562698

4.539998

08/12/2022

4.550716

4.528076

07/12/2022

4.542719

4.520118

06/12/2022

4.551121

4.528479

05/12/2022

4.574196

4.551439

02/12/2022

4.593612

4.570758

01/12/2022

4.614296

4.591339

30/11/2022

4.576908

4.554137

29/11/2022

4.544551

4.521941

28/11/2022

4.560256

4.537568

25/11/2022

4.591979

4.569133

24/11/2022

4.595137

4.572276

23/11/2022

4.561220

4.538527

22/11/2022

4.539050

4.516468

21/11/2022

4.524847

4.502335

18/11/2022

4.476878

4.454605