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

09/09/2021

3.867243

3.855676

08/09/2021

3.890337

3.878701

07/09/2021

3.886088

3.874464

06/09/2021

3.890217

3.878581

03/09/2021

3.873028

3.861444

02/09/2021

3.903149

3.891475

01/09/2021

3.913743

3.902037

31/08/2021

3.917015

3.905299

30/08/2021

3.920117

3.908391

27/08/2021

3.916602

3.904887

26/08/2021

3.918846

3.907125

25/08/2021

3.918883

3.907161

24/08/2021

3.915617

3.903906

23/08/2021

3.941301

3.929512

20/08/2021

3.954184

3.942357

19/08/2021

3.931985

3.920225

18/08/2021

3.918183

3.906464

17/08/2021

3.938046

3.926267

16/08/2021

3.912193

3.900491

13/08/2021

3.887339

3.875712

12/08/2021

3.885360

3.873739

11/08/2021

3.862995

3.851440

10/08/2021

3.856865

3.845329

09/08/2021

3.854528

3.842999

06/08/2021

3.851515

3.839995

05/08/2021

3.829288

3.817835

04/08/2021

3.824966

3.813525

03/08/2021

3.844206

3.832708

31/07/2021

3.853624

3.842098

30/07/2021

3.853624

3.842098