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

04/12/2025

4.554731

4.541108

03/12/2025

4.557568

4.543936

02/12/2025

4.548220

4.534616

01/12/2025

4.570848

4.557176

30/11/2025

4.586623

4.572904

28/11/2025

4.586623

4.572904

27/11/2025

4.588128

4.574405

25/11/2025

4.630872

4.617021

24/11/2025

4.559213

4.545576

21/11/2025

4.568774

4.555109

20/11/2025

4.476930

4.463539

19/11/2025

4.510610

4.497119

18/11/2025

4.503402

4.489932

17/11/2025

4.534798

4.521234

14/11/2025

4.549487

4.535879

13/11/2025

4.578079

4.564386

12/11/2025

4.628715

4.614870

11/11/2025

4.624921

4.611088

10/11/2025

4.565219

4.551564

07/11/2025

4.553431

4.539812

06/11/2025

4.536466

4.522897

05/11/2025

4.567675

4.554013

04/11/2025

4.553844

4.540223

03/11/2025

4.553536

4.539916

31/10/2025

4.552497

4.538880

30/10/2025

4.536771

4.523201

29/10/2025

4.521012

4.507490

28/10/2025

4.590379

4.576649

27/10/2025

4.624543

4.610711

24/10/2025

4.655173

4.641249