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

02/03/2018

1.814100

1.811203

01/03/2018

1.818012

1.815108

28/02/2018

1.810412

1.807520

27/02/2018

1.836826

1.833892

26/02/2018

1.828263

1.825342

23/02/2018

1.809379

1.806489

22/02/2018

1.793398

1.790533

21/02/2018

1.816584

1.813682

20/02/2018

1.800966

1.798089

19/02/2018

1.801210

1.798332

16/02/2018

1.785151

1.782299

15/02/2018

1.781792

1.778945

14/02/2018

1.785482

1.782630

13/02/2018

1.797591

1.794720

12/02/2018

1.780077

1.777233

09/02/2018

1.789825

1.786966

08/02/2018

1.798481

1.795608

07/02/2018

1.790520

1.787660

06/02/2018

1.786950

1.784095

05/02/2018

1.832465

1.829537

02/02/2018

1.857727

1.854759

01/02/2018

1.875166

1.872171

31/01/2018

1.871771

1.868781

30/01/2018

1.839547

1.836608

29/01/2018

1.855279

1.852315

25/01/2018

1.872538

1.869547

24/01/2018

1.877963

1.874963

23/01/2018

1.873424

1.870432

22/01/2018

1.862161

1.859187

19/01/2018

1.872337

1.869346