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 Term Allocated Pension Plan

As of Date Entry Price Exit Price

10/02/2021

3.730175

3.711617

09/02/2021

3.721215

3.702701

08/02/2021

3.744499

3.725870

05/02/2021

3.743934

3.725307

04/02/2021

3.726657

3.708117

03/02/2021

3.728806

3.710254

02/02/2021

3.702702

3.684281

01/02/2021

3.665799

3.647561

31/01/2021

3.609355

3.591398

29/01/2021

3.609355

3.591398

28/01/2021

3.652958

3.634784

27/01/2021

3.648205

3.630055

25/01/2021

3.663097

3.644873

22/01/2021

3.648267

3.630116

21/01/2021

3.672023

3.653754

20/01/2021

3.713752

3.695276

19/01/2021

3.705853

3.687416

18/01/2021

3.706709

3.688267

15/01/2021

3.711871

3.693404

14/01/2021

3.726541

3.708001

13/01/2021

3.736125

3.717538

12/01/2021

3.716104

3.697616

11/01/2021

3.739745

3.721139

08/01/2021

3.773267

3.754495

07/01/2021

3.759539

3.740835

06/01/2021

3.766733

3.747993

05/01/2021

3.716785

3.698293

04/01/2021

3.748519

3.729869

31/12/2020

3.748186

3.729538

30/12/2020

3.759570

3.740865