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

17/04/2018

3.451533

3.434361

16/04/2018

3.419890

3.402876

13/04/2018

3.425662

3.408619

12/04/2018

3.414147

3.397161

11/04/2018

3.415256

3.398265

10/04/2018

3.412485

3.395508

09/04/2018

3.420374

3.403357

06/04/2018

3.401996

3.385070

05/04/2018

3.388183

3.371326

04/04/2018

3.348825

3.332164

03/04/2018

3.341111

3.324489

31/03/2018

3.364232

3.347494

29/03/2018

3.364232

3.347494

28/03/2018

3.364360

3.347621

27/03/2018

3.299363

3.282948

26/03/2018

3.274483

3.258192

23/03/2018

3.291437

3.275061

22/03/2018

3.301744

3.285317

21/03/2018

3.333004

3.316422

20/03/2018

3.345320

3.328677

19/03/2018

3.364661

3.347922

16/03/2018

3.388102

3.371245

15/03/2018

3.382795

3.365966

14/03/2018

3.388598

3.371739

13/03/2018

3.403041

3.386110

12/03/2018

3.390114

3.373248

09/03/2018

3.382680

3.365850

08/03/2018

3.374011

3.357225

07/03/2018

3.333717

3.317132

06/03/2018

3.332294

3.315715