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

Lazard Global Listed Infrastructure

Perpetual WealthFocus Super Plan

As of Date Entry Price Exit Price

17/12/2019

3.737671

3.719076

16/12/2019

3.721780

3.703263

13/12/2019

3.670765

3.652503

12/12/2019

3.620319

3.602307

11/12/2019

3.640572

3.622460

10/12/2019

3.606165

3.588223

09/12/2019

3.593550

3.575671

06/12/2019

3.604919

3.586984

05/12/2019

3.579120

3.561313

04/12/2019

3.589333

3.571476

03/12/2019

3.554504

3.536820

02/12/2019

3.554896

3.537210

30/11/2019

3.627670

3.609622

29/11/2019

3.627670

3.609622

28/11/2019

3.646696

3.628553

27/11/2019

3.663308

3.645083

26/11/2019

3.668311

3.650061

25/11/2019

3.656570

3.638378

22/11/2019

3.632250

3.614179

21/11/2019

3.624096

3.606065

20/11/2019

3.643122

3.624997

19/11/2019

3.654767

3.636584

18/11/2019

3.706182

3.687743

15/11/2019

3.689624

3.671268

14/11/2019

3.671179

3.652914

13/11/2019

3.680278

3.661968

12/11/2019

3.719337

3.700833

11/11/2019

3.703838

3.685411

08/11/2019

3.699333

3.680929

07/11/2019

3.691374

3.673009