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

06/05/2021

4.056480

4.036298

05/05/2021

4.016606

3.996622

04/05/2021

4.010943

3.990988

03/05/2021

4.010077

3.990126

30/04/2021

3.997236

3.977349

29/04/2021

3.969625

3.949875

28/04/2021

3.967154

3.947417

27/04/2021

3.969880

3.950130

26/04/2021

3.974117

3.954345

23/04/2021

3.968427

3.948684

22/04/2021

3.980180

3.960378

21/04/2021

3.959765

3.940065

20/04/2021

3.951964

3.932303

19/04/2021

3.978368

3.958575

16/04/2021

3.947232

3.927594

15/04/2021

3.931626

3.912066

14/04/2021

3.925345

3.905816

13/04/2021

3.920590

3.901085

12/04/2021

3.925116

3.905588

09/04/2021

3.923668

3.904147

08/04/2021

3.933525

3.913955

07/04/2021

3.905096

3.885668

06/04/2021

3.895828

3.876446

01/04/2021

3.895614

3.876233

31/03/2021

3.881451

3.862140

30/03/2021

3.870030

3.850776

29/03/2021

3.895917

3.876534

26/03/2021

3.864978

3.845750

25/03/2021

3.861037

3.841828

24/03/2021

3.839329

3.820228