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

09/02/2021

3.252422

3.242694

08/02/2021

3.251975

3.242248

05/02/2021

3.256325

3.246586

04/02/2021

3.263671

3.253909

03/02/2021

3.224291

3.214647

02/02/2021

3.267648

3.251391

01/02/2021

3.200855

3.184930

31/01/2021

3.138350

3.122737

29/01/2021

3.138350

3.122737

28/01/2021

3.199976

3.184055

27/01/2021

3.148319

3.132656

25/01/2021

3.204292

3.188350

22/01/2021

3.213166

3.197180

21/01/2021

3.209510

3.193542

20/01/2021

3.229760

3.213691

19/01/2021

3.231564

3.215486

18/01/2021

3.229902

3.213833

15/01/2021

3.223692

3.207654

14/01/2021

3.220042

3.204022

13/01/2021

3.243173

3.227037

12/01/2021

3.243195

3.227060

11/01/2021

3.268468

3.252207

08/01/2021

3.257053

3.240849

07/01/2021

3.252943

3.236759

06/01/2021

3.221588

3.205561

05/01/2021

3.204607

3.188664

04/01/2021

3.223011

3.206976

31/12/2020

3.219546

3.203528

30/12/2020

3.228474

3.212412

29/12/2020

3.251504

3.235327