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

MFS Global Equity

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

13/04/2022

3.543676

3.533077

12/04/2022

3.493365

3.482916

11/04/2022

3.549696

3.539079

08/04/2022

3.565839

3.555173

07/04/2022

3.548514

3.537900

06/04/2022

3.516807

3.506288

05/04/2022

3.518543

3.508019

04/04/2022

3.575398

3.564704

01/04/2022

3.592157

3.581413

31/03/2022

3.585527

3.574803

30/03/2022

3.621144

3.610313

29/03/2022

3.649270

3.638355

28/03/2022

3.580344

3.569635

25/03/2022

3.553350

3.542722

24/03/2022

3.537014

3.526435

23/03/2022

3.518410

3.507886

22/03/2022

3.602524

3.591749

21/03/2022

3.589593

3.578856

18/03/2022

3.617846

3.607025

17/03/2022

3.592969

3.582222

16/03/2022

3.612956

3.602150

15/03/2022

3.541707

3.531114

14/03/2022

3.489200

3.478764

11/03/2022

3.420214

3.409984

10/03/2022

3.416317

3.406099

09/03/2022

3.469877

3.459499

08/03/2022

3.352367

3.342340

07/03/2022

3.354893

3.344858

04/03/2022

3.443886

3.433585

03/03/2022

3.530444

3.519884