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 Properties Securities Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

09/09/2021

2.493458

2.490469

08/09/2021

2.519161

2.516142

07/09/2021

2.549688

2.546632

06/09/2021

2.551227

2.548169

03/09/2021

2.548986

2.545931

02/09/2021

2.532000

2.528966

01/09/2021

2.526435

2.523407

31/08/2021

2.524182

2.521157

30/08/2021

2.494556

2.491566

27/08/2021

2.483892

2.480915

26/08/2021

2.476438

2.473469

25/08/2021

2.475949

2.472981

24/08/2021

2.491812

2.488825

23/08/2021

2.480445

2.477472

20/08/2021

2.458851

2.455904

19/08/2021

2.436283

2.433363

18/08/2021

2.457209

2.454263

17/08/2021

2.408552

2.405665

16/08/2021

2.431668

2.428753

13/08/2021

2.422135

2.419232

12/08/2021

2.407266

2.404381

11/08/2021

2.421258

2.418356

10/08/2021

2.432906

2.429990

09/08/2021

2.439907

2.436982

06/08/2021

2.434837

2.431919

05/08/2021

2.420151

2.417250

04/08/2021

2.396191

2.393319

03/08/2021

2.380171

2.377319

31/07/2021

2.374642

2.371796

30/07/2021

2.374642

2.371796