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

20/02/2024

2.635225

2.632067

19/02/2024

2.609835

2.606707

16/02/2024

2.667975

2.664777

15/02/2024

2.655201

2.652019

14/02/2024

2.563589

2.560516

13/02/2024

2.593443

2.590335

12/02/2024

2.592507

2.589400

09/02/2024

2.596655

2.593543

08/02/2024

2.585467

2.582368

07/02/2024

2.566857

2.563780

06/02/2024

2.541692

2.538646

05/02/2024

2.564064

2.560991

02/02/2024

2.583269

2.580173

01/02/2024

2.504975

2.501973

31/01/2024

2.544834

2.541784

30/01/2024

2.496483

2.493491

29/01/2024

2.467832

2.464874

25/01/2024

2.442043

2.439116

24/01/2024

2.449961

2.447025

23/01/2024

2.426204

2.423296

22/01/2024

2.432523

2.429607

19/01/2024

2.406783

2.403898

18/01/2024

2.386095

2.383235

17/01/2024

2.441430

2.438504

16/01/2024

2.458502

2.455555

15/01/2024

2.475066

2.472099

12/01/2024

2.475381

2.472414

11/01/2024

2.475398

2.472431

10/01/2024

2.462546

2.459594

09/01/2024

2.446469

2.443537