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Unit Prices

Lazard Global Listed Infrastructure

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

03/03/2022

4.334022

4.312460

02/03/2022

4.352098

4.330446

01/03/2022

4.345551

4.323931

28/02/2022

4.390879

4.369034

25/02/2022

4.374403

4.352640

24/02/2022

4.223048

4.202038

23/02/2022

4.309475

4.288035

22/02/2022

4.317915

4.296433

21/02/2022

4.356437

4.334763

18/02/2022

4.381540

4.359741

17/02/2022

4.389674

4.367835

16/02/2022

4.395918

4.374048

15/02/2022

4.370965

4.349219

14/02/2022

4.329678

4.308137

11/02/2022

4.382010

4.360209

10/02/2022

4.398972

4.377087

09/02/2022

4.415769

4.393800

08/02/2022

4.347402

4.325773

07/02/2022

4.318758

4.297272

04/02/2022

4.355887

4.334216

03/02/2022

4.404372

4.382460

02/02/2022

4.442995

4.420891

01/02/2022

4.414136

4.392175

31/01/2022

4.380643

4.358849

28/01/2022

4.372860

4.351104

27/01/2022

4.379062

4.357276

25/01/2022

4.347227

4.325599

24/01/2022

4.355436

4.333767

21/01/2022

4.412858

4.390903

20/01/2022

4.443548

4.421441