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

29/07/2015

1.620229

1.616995

28/07/2015

1.606858

1.603651

27/07/2015

1.612578

1.609359

24/07/2015

1.571248

1.568112

23/07/2015

1.580569

1.577414

22/07/2015

1.588657

1.585486

21/07/2015

1.609289

1.606077

20/07/2015

1.602244

1.599046

17/07/2015

1.604003

1.600801

16/07/2015

1.613955

1.610734

15/07/2015

1.599481

1.596288

14/07/2015

1.589038

1.585867

13/07/2015

1.554134

1.551032

10/07/2015

1.560048

1.556934

09/07/2015

1.563222

1.560102

08/07/2015

1.568666

1.565535

07/07/2015

1.576202

1.571487

06/07/2015

1.550826

1.546187

03/07/2015

1.565352

1.560670

02/07/2015

1.578908

1.574185

01/07/2015

1.567283

1.562595

30/06/2015

1.543113

1.538498

29/06/2015

1.536642

1.532046

26/06/2015

1.566518

1.561832

25/06/2015

1.573710

1.569003

24/06/2015

1.595794

1.591021

23/06/2015

1.603040

1.598245

22/06/2015

1.587908

1.583159

19/06/2015

1.558960

1.554298

18/06/2015

1.521074

1.516524