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

30/11/2023

3.743130

3.731934

29/11/2023

3.729912

3.718756

28/11/2023

3.698775

3.687712

27/11/2023

3.721327

3.710196

24/11/2023

3.747551

3.736342

23/11/2023

3.747484

3.736275

22/11/2023

3.758913

3.747670

21/11/2023

3.735285

3.724113

20/11/2023

3.730172

3.719015

17/11/2023

3.749218

3.738004

16/11/2023

3.743968

3.732770

15/11/2023

3.720511

3.709383

14/11/2023

3.718471

3.707349

13/11/2023

3.694663

3.683612

10/11/2023

3.704422

3.693342

09/11/2023

3.677995

3.666994

08/11/2023

3.674925

3.663933

07/11/2023

3.670182

3.659204

06/11/2023

3.634863

3.623991

03/11/2023

3.640208

3.629320

02/11/2023

3.636696

3.625819

01/11/2023

3.603296

3.592518

31/10/2023

3.599725

3.588958

30/10/2023

3.550294

3.539675

27/10/2023

3.521676

3.511143

26/10/2023

3.558162

3.547519

25/10/2023

3.569192

3.558516

24/10/2023

3.593273

3.582525

23/10/2023

3.599226

3.588461

20/10/2023

3.604372

3.593591

Integration: 20250130.1 - develop+fd76667146f291f1f61d03866ad001a294990a45