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

04/09/2015

2.343320

2.329344

03/09/2015

2.372388

2.358239

02/09/2015

2.342601

2.328629

01/09/2015

2.335360

2.321431

31/08/2015

2.383841

2.369624

28/08/2015

2.401232

2.386910

27/08/2015

2.386894

2.372658

26/08/2015

2.333595

2.319677

25/08/2015

2.328617

2.314729

24/08/2015

2.262605

2.249110

21/08/2015

2.368345

2.354219

20/08/2015

2.425053

2.410590

19/08/2015

2.462804

2.448116

18/08/2015

2.481428

2.466628

17/08/2015

2.481586

2.466785

14/08/2015

2.467503

2.452786

13/08/2015

2.467944

2.453225

12/08/2015

2.447728

2.433129

11/08/2015

2.466213

2.451504

10/08/2015

2.489959

2.475109

07/08/2015

2.464693

2.449993

06/08/2015

2.472935

2.458186

05/08/2015

2.485858

2.471032

04/08/2015

2.480395

2.465601

31/07/2015

2.470474

2.455739

30/07/2015

2.451598

2.436976

29/07/2015

2.445188

2.430604

28/07/2015

2.432073

2.417567

27/07/2015

2.416411

2.401999

24/07/2015

2.433348

2.418835

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45