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

01/03/2016

1.721494

1.718058

29/02/2016

1.702951

1.699552

26/02/2016

1.711777

1.708361

25/02/2016

1.709337

1.705925

24/02/2016

1.700896

1.697501

23/02/2016

1.710192

1.706778

22/02/2016

1.720552

1.717118

19/02/2016

1.700839

1.697444

18/02/2016

1.698532

1.695141

17/02/2016

1.684000

1.680639

16/02/2016

1.704676

1.701273

15/02/2016

1.672954

1.669615

12/02/2016

1.656747

1.653440

11/02/2016

1.666227

1.662901

10/02/2016

1.623272

1.620032

09/02/2016

1.638652

1.635381

08/02/2016

1.681807

1.678450

05/02/2016

1.678016

1.674666

04/02/2016

1.677505

1.674156

03/02/2016

1.660178

1.656865

02/02/2016

1.672368

1.669030

01/02/2016

1.674749

1.671407

31/01/2016

1.659873

1.656560

29/01/2016

1.659873

1.656560

28/01/2016

1.658853

1.655542

27/01/2016

1.649899

1.646606

25/01/2016

1.639702

1.636429

22/01/2016

1.629168

1.625916

21/01/2016

1.627956

1.624706

20/01/2016

1.632178

1.628920