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

09/04/2021

3.486740

3.476311

08/04/2021

3.462487

3.452131

07/04/2021

3.437504

3.427222

06/04/2021

3.434823

3.424549

01/04/2021

3.413682

3.403471

31/03/2021

3.381431

3.371317

30/03/2021

3.396784

3.386624

29/03/2021

3.380331

3.370220

26/03/2021

3.380702

3.370590

25/03/2021

3.366688

3.356618

24/03/2021

3.333076

3.323106

23/03/2021

3.315689

3.305772

22/03/2021

3.311738

3.301833

19/03/2021

3.293634

3.283783

18/03/2021

3.302974

3.293095

17/03/2021

3.339944

3.329954

16/03/2021

3.323628

3.313687

15/03/2021

3.331913

3.321947

12/03/2021

3.313791

3.303879

11/03/2021

3.305397

3.295510

10/03/2021

3.311860

3.301955

09/03/2021

3.284632

3.274807

08/03/2021

3.279137

3.269329

05/03/2021

3.255379

3.245642

04/03/2021

3.179953

3.170442

03/03/2021

3.215764

3.206146

02/03/2021

3.225525

3.215877

01/03/2021

3.240206

3.230514

28/02/2021

3.201191

3.191616

26/02/2021

3.201191

3.191616