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

13/11/2020

3.853267

3.834096

12/11/2020

3.856541

3.837354

11/11/2020

3.892792

3.873425

10/11/2020

3.883700

3.864378

09/11/2020

3.803668

3.784744

06/11/2020

3.635336

3.617249

05/11/2020

3.665209

3.646974

04/11/2020

3.629163

3.611107

03/11/2020

3.606783

3.588839

02/11/2020

3.524401

3.506867

31/10/2020

3.477360

3.460060

30/10/2020

3.477360

3.460060

29/10/2020

3.471532

3.454261

28/10/2020

3.489108

3.471749

27/10/2020

3.585163

3.567327

26/10/2020

3.612911

3.594937

23/10/2020

3.649253

3.631098

22/10/2020

3.619783

3.601774

21/10/2020

3.599331

3.581423

20/10/2020

3.651611

3.633444

19/10/2020

3.633755

3.615677

16/10/2020

3.626940

3.608895

15/10/2020

3.613111

3.595135

14/10/2020

3.661507

3.643291

13/10/2020

3.629177

3.611121

12/10/2020

3.643016

3.624891

09/10/2020

3.626409

3.608367

08/10/2020

3.636636

3.618543

07/10/2020

3.615908

3.597918

06/10/2020

3.615442

3.597455