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

Vanguard Australian Fixed Interest Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

02/03/2018

1.894647

1.890865

01/03/2018

1.892525

1.888747

28/02/2018

1.888085

1.884316

27/02/2018

1.891482

1.887706

26/02/2018

1.891210

1.887435

23/02/2018

1.885538

1.881774

22/02/2018

1.882776

1.879018

21/02/2018

1.882998

1.879239

20/02/2018

1.879367

1.875616

19/02/2018

1.880763

1.877009

16/02/2018

1.877577

1.873829

15/02/2018

1.877975

1.874227

14/02/2018

1.883336

1.879577

13/02/2018

1.882069

1.878312

12/02/2018

1.878478

1.874729

09/02/2018

1.883318

1.879559

08/02/2018

1.879165

1.875414

07/02/2018

1.883077

1.879319

06/02/2018

1.884251

1.880490

05/02/2018

1.875614

1.871870

02/02/2018

1.884196

1.880435

01/02/2018

1.885259

1.881496

31/01/2018

1.883759

1.879999

30/01/2018

1.878604

1.874854

29/01/2018

1.880170

1.876418

25/01/2018

1.879721

1.875969

24/01/2018

1.881286

1.877531

23/01/2018

1.880671

1.876917

22/01/2018

1.877877

1.874129

19/01/2018

1.877383

1.873635