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

18/06/2021

4.134878

4.114307

17/06/2021

4.176252

4.155475

16/06/2021

4.181066

4.160264

15/06/2021

4.184289

4.163472

11/06/2021

4.150292

4.129644

10/06/2021

4.131478

4.110923

09/06/2021

4.141833

4.121226

08/06/2021

4.122799

4.102288

07/06/2021

4.112781

4.092320

04/06/2021

4.094403

4.074033

03/06/2021

4.088356

4.068016

02/06/2021

4.090454

4.070103

01/06/2021

4.078128

4.057839

31/05/2021

4.061618

4.041411

28/05/2021

4.060767

4.040564

27/05/2021

4.038561

4.018469

26/05/2021

4.061982

4.041773

25/05/2021

4.055117

4.034942

24/05/2021

4.062674

4.042462

21/05/2021

4.055210

4.035035

20/05/2021

4.045904

4.025775

19/05/2021

4.008696

3.988752

18/05/2021

4.039874

4.019775

17/05/2021

4.057884

4.037696

14/05/2021

4.072623

4.052362

13/05/2021

4.031152

4.011097

12/05/2021

4.035698

4.015620

11/05/2021

4.040506

4.020404

10/05/2021

4.083717

4.063400

07/05/2021

4.074803

4.054530