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Unit Prices

MFS Global Equity

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

08/02/2022

3.841133

3.829644

07/02/2022

3.833765

3.822298

04/02/2022

3.871913

3.860332

03/02/2022

3.838285

3.826805

02/02/2022

3.909851

3.898157

01/02/2022

3.892631

3.880988

31/01/2022

3.877419

3.865822

28/01/2022

3.859631

3.848087

27/01/2022

3.790303

3.778966

25/01/2022

3.770049

3.758773

24/01/2022

3.809194

3.797801

21/01/2022

3.823292

3.811856

20/01/2022

3.833906

3.822439

19/01/2022

3.863273

3.851718

18/01/2022

3.888205

3.876575

17/01/2022

3.946879

3.935074

14/01/2022

3.923828

3.912092

13/01/2022

3.918227

3.906507

12/01/2022

3.957987

3.946149

11/01/2022

3.988904

3.976973

10/01/2022

3.970843

3.958966

07/01/2022

4.000960

3.988993

06/01/2022

4.021300

4.009272

05/01/2022

3.992885

3.980942

04/01/2022

4.024821

4.012783

31/12/2021

3.981584

3.969675

30/12/2021

3.991515

3.979576

29/12/2021

3.993380

3.981436

24/12/2021

3.952018

3.940197

23/12/2021

3.948129

3.936320