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

30/07/2021

4.197342

4.176459

29/07/2021

4.205931

4.185006

28/07/2021

4.206576

4.185648

27/07/2021

4.188900

4.168060

26/07/2021

4.179203

4.158411

23/07/2021

4.184774

4.163955

22/07/2021

4.139421

4.118827

21/07/2021

4.113944

4.093477

20/07/2021

4.098346

4.077956

19/07/2021

4.093236

4.072872

16/07/2021

4.171421

4.150668

15/07/2021

4.148434

4.127795

14/07/2021

4.162919

4.142208

13/07/2021

4.169866

4.149121

12/07/2021

4.160848

4.140148

09/07/2021

4.137702

4.117116

08/07/2021

4.118069

4.097581

07/07/2021

4.173159

4.152397

06/07/2021

4.139474

4.118880

05/07/2021

4.136183

4.115605

02/07/2021

4.115772

4.095296

01/07/2021

4.101643

4.081237

30/06/2021

4.072097

4.051837

29/06/2021

4.083144

4.062829

28/06/2021

4.105105

4.084682

25/06/2021

4.121354

4.100849

24/06/2021

4.115373

4.094898

23/06/2021

4.086113

4.065784

22/06/2021

4.127022

4.106489

21/06/2021

4.130023

4.109475