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

29/12/2016

2.974973

2.957230

28/12/2016

2.963458

2.945783

23/12/2016

2.970073

2.952359

22/12/2016

2.958730

2.941084

21/12/2016

2.958242

2.940598

20/12/2016

2.952645

2.935035

19/12/2016

2.945131

2.927565

16/12/2016

2.919956

2.902541

15/12/2016

2.927320

2.909861

14/12/2016

2.912384

2.895014

13/12/2016

2.932940

2.915448

12/12/2016

2.900632

2.883332

09/12/2016

2.893444

2.876187

08/12/2016

2.875010

2.857863

07/12/2016

2.874081

2.856939

06/12/2016

2.841786

2.824837

05/12/2016

2.800972

2.784267

02/12/2016

2.789441

2.772804

01/12/2016

2.801519

2.784810

30/11/2016

2.820542

2.803720

29/11/2016

2.795624

2.778950

28/11/2016

2.772271

2.755737

25/11/2016

2.778707

2.762134

24/11/2016

2.761275

2.744806

23/11/2016

2.765863

2.749367

22/11/2016

2.762156

2.745682

21/11/2016

2.742971

2.726612

18/11/2016

2.733420

2.717117

17/11/2016

2.746522

2.730141

16/11/2016

2.730101

2.713818