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Unit Prices

Lazard Global Listed Infrastructure

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

21/02/2024

4.902689

4.878298

20/02/2024

4.876791

4.852528

19/02/2024

4.848254

4.824133

16/02/2024

4.826456

4.802444

15/02/2024

4.840819

4.816735

14/02/2024

4.795419

4.771561

13/02/2024

4.788465

4.764642

12/02/2024

4.815694

4.791735

09/02/2024

4.788056

4.764235

08/02/2024

4.809591

4.785663

07/02/2024

4.840601

4.816518

06/02/2024

4.853736

4.829588

05/02/2024

4.842265

4.818174

02/02/2024

4.847109

4.822994

01/02/2024

4.862336

4.838145

31/01/2024

4.833725

4.809677

30/01/2024

4.826822

4.802808

29/01/2024

4.815418

4.791461

25/01/2024

4.788020

4.764199

24/01/2024

4.770994

4.747258

23/01/2024

4.780739

4.756954

22/01/2024

4.799255

4.775378

19/01/2024

4.762283

4.738590

18/01/2024

4.769551

4.745822

17/01/2024

4.768857

4.745131

16/01/2024

4.846619

4.822506

15/01/2024

4.866620

4.842408

12/01/2024

4.855288

4.831132

11/01/2024

4.802897

4.779002

10/01/2024

4.851764

4.827626