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Unit Prices

Lazard Global Listed Infrastructure

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

19/01/2022

4.431994

4.409944

18/01/2022

4.434519

4.412457

17/01/2022

4.460241

4.438051

14/01/2022

4.469375

4.447139

13/01/2022

4.456230

4.434060

12/01/2022

4.428040

4.406010

11/01/2022

4.422177

4.400176

10/01/2022

4.428846

4.406812

07/01/2022

4.445765

4.423647

06/01/2022

4.467019

4.444795

05/01/2022

4.501030

4.478637

04/01/2022

4.516666

4.494195

31/12/2021

4.498828

4.476446

30/12/2021

4.502257

4.479858

29/12/2021

4.508180

4.485751

24/12/2021

4.446522

4.424400

23/12/2021

4.451819

4.429671

22/12/2021

4.424811

4.402797

21/12/2021

4.401273

4.379376

20/12/2021

4.372381

4.350628

17/12/2021

4.387985

4.366154

16/12/2021

4.381763

4.359963

15/12/2021

4.367790

4.346060

14/12/2021

4.348743

4.327107

13/12/2021

4.341928

4.320326

10/12/2021

4.354919

4.333253

09/12/2021

4.358891

4.337205

08/12/2021

4.360068

4.338376

07/12/2021

4.367869

4.346138

06/12/2021

4.344522

4.322907