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

20/01/2020

2.451935

2.448997

17/01/2020

2.455400

2.452457

16/01/2020

2.446248

2.443316

15/01/2020

2.423821

2.420916

14/01/2020

2.410230

2.407341

13/01/2020

2.396239

2.393367

10/01/2020

2.392593

2.389726

09/01/2020

2.387430

2.384569

08/01/2020

2.379090

2.376239

07/01/2020

2.387378

2.384517

06/01/2020

2.355284

2.352461

03/01/2020

2.344721

2.341911

02/01/2020

2.330540

2.327746

31/12/2019

2.317721

2.314943

30/12/2019

2.359633

2.356805

27/12/2019

2.352542

2.349723

24/12/2019

2.342034

2.339227

23/12/2019

2.333608

2.330811

20/12/2019

2.336677

2.333876

19/12/2019

2.339721

2.336917

18/12/2019

2.330761

2.327968

17/12/2019

2.338751

2.335948

16/12/2019

2.334749

2.331950

13/12/2019

2.294098

2.291349

12/12/2019

2.341181

2.338375

11/12/2019

2.368650

2.365811

10/12/2019

2.377909

2.375059

09/12/2019

2.398356

2.395482

06/12/2019

2.388516

2.385653

05/12/2019

2.376361

2.373513