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 Account Based Pension Plan

As of Date Entry Price Exit Price

27/06/2025

5.909978

5.880575

26/06/2025

5.897162

5.867823

25/06/2025

5.875251

5.846021

24/06/2025

5.902481

5.873115

23/06/2025

5.893802

5.864480

20/06/2025

5.848868

5.819769

19/06/2025

5.843749

5.814676

18/06/2025

5.850218

5.821112

17/06/2025

5.853680

5.824557

16/06/2025

5.876684

5.847447

13/06/2025

5.873755

5.844532

12/06/2025

5.904597

5.875221

11/06/2025

5.885509

5.856228

10/06/2025

5.880487

5.851231

06/06/2025

5.870821

5.841613

05/06/2025

5.859897

5.830743

04/06/2025

5.874541

5.845314

03/06/2025

5.889906

5.860603

02/06/2025

5.881436

5.852175

30/05/2025

5.861588

5.832426

29/05/2025

5.828013

5.799018

28/05/2025

5.829543

5.800540

27/05/2025

5.870499

5.841293

26/05/2025

5.869050

5.839851

23/05/2025

5.850784

5.821676

22/05/2025

5.844312

5.815236

21/05/2025

5.855815

5.826682

20/05/2025

5.862933

5.833764

19/05/2025

5.806974

5.778084

16/05/2025

5.786741

5.757951