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

27/12/2018

1.945293

1.941410

24/12/2018

1.948007

1.944119

21/12/2018

1.943987

1.940106

20/12/2018

1.947465

1.943578

19/12/2018

1.942786

1.938908

18/12/2018

1.939994

1.936121

17/12/2018

1.938868

1.934998

14/12/2018

1.935818

1.931954

13/12/2018

1.935506

1.931643

12/12/2018

1.937766

1.933899

11/12/2018

1.937799

1.933932

10/12/2018

1.937019

1.933152

07/12/2018

1.937930

1.934062

06/12/2018

1.936810

1.932944

05/12/2018

1.932606

1.928749

04/12/2018

1.930273

1.926420

03/12/2018

1.922670

1.918833

30/11/2018

1.925129

1.921286

29/11/2018

1.923774

1.919934

28/11/2018

1.921761

1.917925

27/11/2018

1.921136

1.917301

26/11/2018

1.919488

1.915657

23/11/2018

1.918632

1.914802

22/11/2018

1.918348

1.914519

21/11/2018

1.915349

1.911526

20/11/2018

1.915578

1.911754

19/11/2018

1.917497

1.913670

16/11/2018

1.916988

1.913161

15/11/2018

1.913822

1.910002

14/11/2018

1.915739

1.911915