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 Super Plan

As of Date Entry Price Exit Price

28/02/2025

4.576587

4.562898

27/02/2025

4.513522

4.500022

26/02/2025

4.517624

4.504112

25/02/2025

4.489954

4.476524

24/02/2025

4.472886

4.459507

21/02/2025

4.465489

4.452133

20/02/2025

4.469441

4.456073

19/02/2025

4.502901

4.489433

18/02/2025

4.524084

4.510552

17/02/2025

4.508960

4.495474

14/02/2025

4.514079

4.500577

13/02/2025

4.562585

4.548938

12/02/2025

4.514455

4.500952

11/02/2025

4.505742

4.492265

10/02/2025

4.509203

4.495716

07/02/2025

4.509804

4.496315

06/02/2025

4.544051

4.530460

05/02/2025

4.531410

4.517856

04/02/2025

4.540669

4.527088

03/02/2025

4.573575

4.559895

31/01/2025

4.596705

4.582956

30/01/2025

4.625036

4.611202

29/01/2025

4.585028

4.571314

28/01/2025

4.589154

4.575428

24/01/2025

4.535316

4.521751

23/01/2025

4.546073

4.532476

22/01/2025

4.516908

4.503398

21/01/2025

4.506245

4.492767

20/01/2025

4.453396

4.440076

17/01/2025

4.458452

4.445117